Working Capital (Cash) Management Training Course Class Outline
Module One: Introduction to Working Capital Management
- Overview of Working Capital
- The Working Capital Cash Conversion Cycle (CCC)
- How Changes in Current Accounts Impact External Financing
- Working Capital Investment and Financing Strategies
- Management of Credit and Accounts Receivable (A/R)
- Management of Inventory
- Management of Accounts Payable (A/P)
- Multi-National Working Capital Management Tools
Module Two: Working Capital Metrics
- Basic Financial Concepts
- Working Capital Metrics
- Cash Conversion Cycle (CCC)
- Cash Discount Calculations
- Accounts Receivable (A/R)
- Monitoring and Control
- Collections and Concentrations Calculations
Module Three: Collections, Concentration, and Disbursements
- Disbursements
- Collections
- Concentration of Funds
- Payments Fraud
Module Four: Short-Term Investing and Borrowing
- Managing Short-Term Investments
- Pricing and Yields on Short-Term Investments
- Managing Short-Term Financing
- Debt Financing
Module Five: Cash Forecasting
- Purpose of Cash Forecasting
- Issues and Opportunities
- Types of Forecasts
- The Forecasting Process
- Forecasting Methods
- Best Practices of Cash Forecasting
Module Six: Information Technology in Treasury
- Information Technology for Treasury
- Treasury Management Systems (TMS)
- eCommerce