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Advanced Management of Cash Flow and Working Capital

Advanced Management of Cash Flow and Working Capital

This course is working capital cash flow management, including advanced techniques for its improvement, with an emphasis on enhancing organization's liquidity, economic stability and operational efficiency.

City Start Date End Date Fees Register Enquire Download
Kuala Lumpur 23-06-2025 27-06-2025 4950 $ Register Enquire
London 30-06-2025 04-07-2025 6200 $ Register Enquire
Dubai 07-07-2025 11-07-2025 4300 $ Register Enquire
Cape Town 14-07-2025 18-07-2025 5600 $ Register Enquire
Istanbul 21-07-2025 25-07-2025 4950 $ Register Enquire
Casablanca 28-07-2025 01-08-2025 4950 $ Register Enquire
Cairo 04-08-2025 08-08-2025 3950 $ Register Enquire
Amman 11-08-2025 15-08-2025 3950 $ Register Enquire
Bali 18-08-2025 22-08-2025 4950 $ Register Enquire
Kuala Lumpur 01-09-2025 05-09-2025 4950 $ Register Enquire
Casablanca 08-09-2025 12-09-2025 4950 $ Register Enquire
London 15-09-2025 19-09-2025 6200 $ Register Enquire
Vienna 22-09-2025 26-09-2025 6200 $ Register Enquire
Milan 29-09-2025 03-10-2025 6200 $ Register Enquire
London 06-10-2025 10-10-2025 6200 $ Register Enquire
Bali 20-10-2025 24-10-2025 4950 $ Register Enquire
Kuala Lumpur 27-10-2025 31-10-2025 4950 $ Register Enquire
Kuala Lumpur 03-11-2025 07-11-2025 4950 $ Register Enquire
Cairo 10-11-2025 14-11-2025 3950 $ Register Enquire
Istanbul 24-11-2025 28-11-2025 4950 $ Register Enquire
Casablanca 01-12-2025 05-12-2025 4950 $ Register Enquire
Jakarta 08-12-2025 12-12-2025 4950 $ Register Enquire
Cairo 15-12-2025 19-12-2025 3950 $ Register Enquire

Advanced Management of Cash Flow and Working Capital Course

Introduction:

For some time now, there has been increasing recognition that focusing solely on profits in the long run is less critical than effective cash flow management. The real value of a company lies in the efficient generation and utilization of cash, coupled with long-term working capital management.

The Working Capital and Cash Flow Management course acknowledges that there is significant potential to enhance an organization's financial efficiency through better management of working capital. This can lead to short-term improvements in cash flow, reductions in net interest expenses, and overall improvements in income and return on invested capital.

One challenge in achieving these performance improvements is that actual working capital levels and cash flow depend on the day-to-day actions of numerous managers and staff. In large corporations, this can involve thousands of individuals.

This Advanced Cash Flow and Working Capital Management Course covers the fundamental principles, techniques, and skills necessary for professional cash flow and working capital management in any business. It includes comprehensive cash flow management modules as well as extended training courses designed to enhance financial proficiency.

 

Objectives:

By the end of this Working Capital and Cash Flow Management course, participants will be able to:

  • Manage cash flows effectively, including the management of functional working capital levels.
  • Participate in cash management exercises and troubleshoot working capital management in real-world business situations.
  • Enhance their personal financial management capabilities.
  • Develop a solid understanding of the determinants of successful management, thereby boosting self-esteem.
  • Perform calculations to arrive at business-related figures, adding value and scaling up business operations.
  • Understand financial documents, including balance sheets and profit-and-loss statements, beyond basic financial statements.
  • Recognize the critical importance of cash as the lifeblood of every business.
  • Focus on key areas of inventory, accounts receivable, and accounts payable management that are often overlooked.
  • Operate and manage the inflows and outflows of a business's cash more efficiently.
  • Prepare cash flow projections and develop a comprehensive cash budget.
  • Assess investment proposals using cash flow estimates for informed decision-making.
  • Incorporate risk and uncertainty into financial analysis and decision-making.

 

Training Methodology:

  • Interactive lectures
  • Case studies
  • Group exercises
  • Financial modeling simulations
  • Situation analysis

 

Course Outline:

Unit 1: Concepts of Cash Flow Management and Performance Measurement

  • Performance management model of cash flow.
  • The financial language.
  • Accounting basics.
  • Management of working capital and cash flows.
  • Three fundamental financial reports.
  • Cash flow versus profit.
  • Utilizing financial documents in cash flow and working capital management.

 

Unit 2: Performance Measurement and Enhancement

  • The impact of inflation on business financial performance.
  • Methods of performance evaluation: Ratios and KPIs.
  • Performance appraisal against standards.
  • Cash and working capital management ratios.
  • Fundamentals of working capital management.
  • Credit risk management.
  • Financial models for managing cash flow and working capital.
  • Spreadsheet models, tools, and methods.

 

Unit 3: Strategic Cash Management

  • Cash flow modeling and cost analysis.
  • Economic value-added model for cash flow.
  • Time value of money and application of DCF.
  • Core financial investment ratios.
  • Identifying base case, sensitivity, and risk scenarios.
  • Treatment of working capital.
  • Company and merger valuation.
  • Origins of NPV.
  • Key value drivers.
  • Lessons from execution and extracting value from projects.

 

Unit 4: Optimization of Working Capital

  • Goals: Optimization, not minimization.
  • Foundational aspects of working capital management.
  • Inventory management.
  • Accounts receivable management.
  • Accounts payable management.
  • Depots and settlement methods.
  • Working capital costs: Permanent and current.
  • Practical examples using case-based methods.
  • Group outreach and application.

 

Unit 5: Cash Flow Planning and Forecasting

  • Exploiting cash reserves efficiently.
  • Cash forecasting methods.
  • Systematic risk management.
  • Developing a fundamental driver model for cash flow forecasting.
  • Sensitivity analysis of cash flow forecasting to managerial variables.

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