Learn how today’s finance executives can optimize the power of business intelligence, visualizations and dashboards to bring their departments into the 21st century. Cash flow forecasting is a critical business process that ensures better liquidity management. This video will show you to:
- Maximize cash flow from operations with better control on receivables and payables with predictive analytics.
- Use predictive analytics to understand historic, current-period, and future cash flow trends and avoid incorrect forecasts resulting in sub-optimal working capital management.
- Take advantage of prepackaged analytics to fast-track your path to accurate cash flow forecasting.
The video presents best practices on using predictive analytics to accelerate cash flow and drive working capital efficiency on order-to-cash processes to decrease DSO and maintain fiscal discipline.