نظرة عامة على الدورة
Why This Course
Effective cash cycle management is essential for maintaining liquidity, supporting growth, and strengthening financial performance. Organizations that successfully manage receivables, payables, and working capital are better positioned to improve profitability and reduce financial risk.
This intensive 5-day program provides finance professionals with practical tools and proven strategies to optimize cash flow, enhance credit and collections processes, and implement robust forecasting models. Through real-world case studies and hands-on exercises, participants will gain the confidence to drive measurable improvements in their organizations.
What You’ll Learn and Practice
By attending this course, you will:
- Understand the full cash cycle and its direct impact on business performance.
- Accelerate cash inflows while optimizing cash outflows.
- Strengthen credit management and collections processes.
- Build reliable cash forecasting models to support decision-making.
- Improve accounts payable strategies and vendor negotiations.
- Identify and unlock working capital optimization opportunities.
The Program Flow
Day 1: Cash Cycle Fundamentals
- Overview of the cash cycle and its components
- Working capital management principles
- Cash flow analysis techniques
- Key performance indicators for effective cash management
Day 2: Accounts Receivable Management
- Developing and implementing credit policies
- Assessing and managing customer credit risk
- Effective invoicing and billing practices
- Collections strategies to reduce overdue balances
Day 3: Accounts Payable Optimization
- Vendor relationship management and negotiation techniques
- Optimizing payment terms and strategies
- Cash disbursement planning
- Leveraging automation and technology in accounts payable
Day 4: Cash Forecasting and Planning
- Cash flow forecasting methodologies
- Short-term and long-term cash planning techniques
- Scenario analysis and sensitivity testing
- Reporting tools for proactive cash management
Day 5: Working Capital Optimization
- Inventory management strategies
- Supply chain finance solutions
- Cash pooling and netting techniques
- Best practices for sustainable working capital improvement
Individual Impact
- Ability to design and implement a tailored cash flow optimization plan.
- Improved confidence in managing receivables, payables, and liquidity.
- Practical skills in forecasting, planning, and financial analysis.
- Stronger negotiation capabilities with customers and suppliers.
Organizational Impact
- Enhanced liquidity and reduced financing costs.
- Improved working capital performance.
- Stronger financial discipline and operational efficiency.
- Better-informed financial decisions supported by reliable forecasting.
Training Methodology
- Interactive financial modeling exercises.
- Real-world case studies and scenario analysis.
- Practical templates for forecasting and credit management.
- Group discussions to share insights and best practices.
Beyond the Course
Participants will leave ready to:
- Optimize the entire cash cycle from receivables to payables.
- Implement structured forecasting and reporting processes.
- Strengthen working capital management strategies.
- Drive sustainable financial improvements within their organizations.
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نعلم أن اختيار البرنامج التدريبي المناسب قرار مهم. تجيب صفحة الأسئلة الشائعة عن أكثر الأسئلة تكراراً حول دوراتنا والتسجيل والشهادات وخيارات الدفع.
- معلومات الدورة - المدة والصيغة والمتطلبات
- التسجيل والدفع - حجز سهل وخيارات دفع مرنة
- الشهادات - شهادات معترف بها دولياً
- خدمات الدعم - المواد التدريبية والمتابعة بعد الدورة
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