[Agile FP&A] Part 1: Intelligent Cash Flow Management

Successfully managing cash flow is key to being an agile FP&A function, especially during a recession. As cost pressures continue to rise, leadership is more frequently asking finance teams what the cash flow status is, what payments can be deferred, and what invoices are past due. However, many teams struggle to provide strategic insight due to manual processes, data silos, and a lack of transactional-level detail. This year, increase your finance team’s agility, using real-time cash flow visibility and refreshable reports.
In our first webinar of the Agile FP&A series, “Intelligent Cash Flow Management,” you’ll learn how to:
• Build comprehensive reports and dashboards. Quickly build holistic reports and sophisticated dashboards on the company’s financial health without relying on IT.
• Improve visibility of your cash. Empower your finance team with the ability to view your cash position in real time, drill into the details, and respond to threats promptly.
• Consolidate and connect all your data. Overcome silos by consolidating data from multiple systems and bring them all together in a way that can be used to drive positive business outcomes.
Join us for this session where we demonstrate how you can look deeper into your cash flows and how you can gather rich insights from your reports, such as the Cash Flow Statement.
Speaker: Kevin Gibson, CPA, Sr. Solutions Engineer at insightsoftware Kevin has more than 25 years of experience in corporate finance. Kevin works closely with organizations that use SAP®, ORACLE®, J.D. EDWARDS® and many other ERP platforms to provide reporting solution demonstrations for accounting and business users. He has a background in accounting and finance, and prior to working for insightsoftware he was a Spreadsheet Server user for 6 years.

Watch now on-demand:

Cash Flow Statement