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Cash Management

February 6, 2014

Cash Management

Jadwal Pelatihan Cash Management

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Instructor by : Januar Eko Prasetio, 

 

OBJECTIVE

  1. Prepare a cash flow statement
  2. Perform a comparative analysis of your statement of cash flows
  3. Gain maximum benefit from the information that your cash flow statement    provides
  4. Perform a ratio analysis
  5. Define the criteria for creating accurate cash flow forecasts
  6. Identify your optimum forecasting period
  7. Use cash flow modeling to improve the accuracy of your cash requirement predictions
  8. Understand capital versus operating expenditure
  9. Streamline your organization cash usage
  10. Align your cash flow forecasts with your existing budgets.

 

COURSE  CONTENT

 

  • Preparing a cash flow statement in line with accounting standards
  • Performing a comparative analysis of your statement of cash flows
  • Performing a ratio analysis to identify cash usage patterns
  • Creating accurate cash flow forecasts
  • Effectively using cash flow modeling
  • Maximizing capital budgeting
  • Streamlining your organization cash usage
  • Effective techniques for managing cash flow
  • Aligning your cash flow forecasts with your existing budgets

 

PARTICIPANT

Financial Accountants, Finance Director, Treasurers, Directors, Partners, Senior Managers, Commercial Managers, Finance Managers, Financial Analysts, Financial Controllers,  Chief Financial Officers, Corporate Risk Managers, Credit Managers.

 

 

TRAINING METHOD

Presentation

Discussion

Case Study

Evaluation

  

FACILITIES

Training Kit

Handout

Certificate

Lunch + 2 X Coffee Break

Souvenir

Pick Up Participants

 

TRAINING FEE for Cash Management

Rp6.500.000,- / participant / Non Residential

Minimal 3 peserta

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Topik Training : Cash Management
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