Optimizing Company Cash provides a comprehensive guide to all elements of cash management in a business including:
- Inflows
- Outflows
- Cash conversion cycles
- Short-term borrowing and investing
- International business
- How to structure a corporate treasury function
In over 200 pages, the Guide explains how CPAs and financial managers can manage their company’s short-term resources to sustain ongoing activities, mobilize funds and optimize liquidity. It
also provides diagrams of work flows, step-by-step checklists, templates, and treasury tips for CPAs and finance managers who are responsible for making the most of working capital and
short-term resources.