Cash Flow and Performance Strategy
Course Overview
This course focuses on helping business leaders understand, manage, and optimize cash flow while linking financial performance to strategic decision-making. Participants will learn practical tools to improve liquidity, profitability, and operational efficiency.
Learning Objectives:
- Understand cash flow dynamics and business impact
- Improve working capital management
- Link cash flow to operational and financial performance
- Forecast and manage liquidity risks
- Optimize revenue and cost structures
- Build sustainable financial strategies
Training Content
DAY 1 – Cash Flow Fundamentals and Analysis
Session 1: Understanding cash flow vs. profit
Session 2: Cash flow cycle and working capital
Session 3: Identifying cash flow challenges and risks
Session 4: Tools for cash flow analysis and forecasting
DAY 2 – Performance Optimization and Strategy
Session 5: Improving receivables, payables, and inventory
Session 6: Cost control and margin improvement strategies
Session 7: Linking financial performance to business strategy
Session 8: Building a cash flow improvement action plan
Client Testimonials
Highly impactful training. Left with practical strategies that I can apply not just in my job, but also directly in my personal life. Great training overall.