The CFO Perspective Live Webcast Series

Tuesday, 07-July-2020
1:30pm - 2:30pm SGT

Recover Your Business:
Improving Strategic Cash Flow and Liquidity to Ensure a Safe and Successful Relaunch of Economic Activity

With economic disruption, predicting cash flow is more important than ever and also more difficult. The time to plan your reopening of your business is now – as restrictions ease and lockdowns are lifted.

As part of its ongoing web series, SAP Concur is hosting a live webcast to help organizations better understand how to maximize their ability to bridge the cash flow gap.

Meet the panelists:
Saurabh Jain
Partner, Management Consulting, PwC

Andy Watson
SVP & General Manager, Asia Pacific Japan & Greater China, SAP Concur

Brendon Silver

Christopher Emslie
Asian Regional Treasurer General Mills / EXCO Association of Corporate Treasurers

Dave Breslin
VP, Service Delivery, SAP Concur Asia Pacific and Greater China

Join us for a live webinar on 7 July 2020 to learn how to:

  • Manage cash flows and liquidity with a mind to grow easily and effectively when the economy reopens
  • Reclaim VAT to generate cash and reduce operational expenditure
  • Increase stringency around approval of supplier and customer payments, monitor cash inflows and outflows
  • Use AI and machine learning to optimize cash flow and working capital
  • Leverage data analytics to take advantage of favorable terms in negotiations and payment strategies
  • Get upfront visibility and control of large purchases

Save your seat today.

Please submit the form below to register.