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Cash Flow Management and Payment Scheduling

Strategies to Optimize Liquidity and Maintain Financial Stability

Cash Flow Management and Payment Scheduling

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FB328
17.Aug.2025 to 21.Aug.2025
Dubai -
Cost 3400 £ GBP

Introduction

Effective cash flow management is critical for sustaining operational performance, meeting financial obligations, and ensuring long-term solvency. This course equips finance professionals with practical tools to forecast, analyze, and manage cash inflows and outflows, with a specific focus on payment scheduling to optimize working capital.

Course Objectives of Cash Flow Management and Payment Scheduling

Upon completing this program, participants will be able to:

  • Understand the fundamentals of cash flow and liquidity management.

  • Develop and implement cash flow forecasting models.

  • Optimize payment schedules to align with cash availability.

  • Analyze working capital components and improve cash conversion cycles.

  • Apply risk mitigation techniques in cash flow management.

Course Methodology of Cash Flow Management and Payment Scheduling

  • Lectures and Expert Insights: Leading industry experts will share their insights and best practices.

  • Case Studies: Analyze real-world talent acquisition challenges and solutions.

  • Group Discussions: Engage in meaningful discussions and share experiences with peers.

  • Role-Playing and Simulations: Practice recruitment scenarios to enhance skills.

  • Hands-on Workshops: Gain practical experience in using recruitment tools and techniques.

Organizational Impact of Cash Flow Management and Payment Scheduling

This training program will have a positive impact on organizations by:

  • Improved financial decision-making and payment prioritization.

  • Reduced risk of cash shortfalls and payment delays.

  • Better vendor relationships due to timely payments.

  • Enhanced budgeting accuracy and fund utilization.

  • Increased operational efficiency through proactive financial planning.

Personal Impact of Cash Flow Management and Payment Scheduling

Participants will experience personal growth and development, including:

  • Strengthened analytical and forecasting skills.

  • Enhanced ability to manage working capital and liquidity.

  • Improved understanding of payment systems and treasury functions.

  • Better communication with banks, suppliers, and internal stakeholders.

  • Confidence in managing real-world financial pressures.

Who Should Attend

This training program is ideal for:

  • Finance Officers and Accountants (esp. Payables and Treasury)

  • Budgeting and Planning Specialists

  • Accounts Payable and Receivable Staff

  • Financial Controllers

  • Treasury Analysts

  • Business Owners and Financial Managers

Course Outline

Day 1

Fundamentals of Cash Flow Management

  • Understanding cash flow vs. profit

  • The role of liquidity in financial health

  • Components of cash inflows and outflows

  • Overview of working capital management

  • Common causes of cash flow issues

Day 2

Cash Flow Forecasting Techniques

  • Direct vs. indirect cash flow forecasting

  • Forecasting models and tools

  • Cash flow variance analysis

  • Building short-term and long-term forecasts

  • Creating a rolling cash flow forecast

Day 3

Payment Scheduling and Optimization

  • Payment prioritization: Strategic vs. operational vendors

  • Managing payment terms and discounts

  • Techniques for scheduling outgoing payments

  • Aligning payment schedules with cash inflows

  • Automating payment workflows with ERP systems

Day 4

Managing Surplus and Shortages

  • Managing cash surpluses: short-term investments

  • Strategies for managing shortfalls

  • Negotiating credit terms and lines of credit

  • Internal funding and intercompany cash pools

  • Emergency liquidity planning

Day 5

Risk, Compliance, and Best Practices

  • Fraud risks in cash flow and payment processes

  • Internal controls and compliance in cash management

  • Policy development for cash handling

  • Dashboard reporting and KPIs for cash flow

  • Designing a cash flow improvement plan

Associations

FB328
17.Aug.2025 to 21.Aug.2025
Dubai -
Cost 3400 £ GBP