Every CFO, controller and treasurer wants to have the best view on what is eating or feeding their company’s cash. It seems however, there are several barriers to be overcome in the process. How do we get a better understanding of our current cash flow and working capital drivers? Cash flow forecasting has become a buzzword, but why would you do it and how? And finally, how do you connect your cash flow forecast with the business? During this webinar, Nicolas Christiaen, Cash Forecasting Specialist at Cashforce, will shed a light on the latest best practices of Cash Management and Forecasting.