Zanerva has been organizing this workshop for many years, and it remains as one of the most eye-opening experiences that a CFO, Treasury and Finance Professional could ever have. The current economic situation and the low price of oil makes this workshop even more timely. It is always during times of economic uncertainty that CFO's and Finance Professionals realize that they need to review their skills on accurate operational cash flow planning and risk management.
This workshop is for is for CFO’s, Heads, Directors, Managers and Officers of the following departments:
Finance
Treasury
Risk Management
Bank Accounts Management
Accounts
Investment Management
Settlement
Accounts Payable
Hedging
In-House Bank
Accounts Receivables
Cash Management
Funding or Interest Rate
Management
Budgeting and Planning
The brochure containing the full outline of the workshop will be sent to you via email if you write to us at new-ideas@zanerva.com, or by completing the form below. Remember, you can customize this workshop and bring it to your organization for more savings! .