Strategies for Achieving More Accurate Cash Flow Forecasting and Working Capital (Financials 2014)

  • by Moussa Soukal, Managing Director, North America, Hanse Orga International Corporation
  • July 21, 2014

Best practice shows that by knowing exactly where the cash is, companies can keep liquidity risks in check and invest cash reserves intelligently for the benefit of the company. In this video Moussa Soukal explains how optimizing cash flow forecasting can put a business on solid financial ground.

Moussa Soukal

Moussa Soukal is managing director, North America, at Hanse Orga International Corporation. He is responsible for leading the international expansion of Hanse Orga’s activities in North America.


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