For treasurers, CFOs and managers:
CASH IS KING
Insightful liquidity planning in 4 steps
My free case study video:
Learn how a best-practice, Excel-based liquidity planning tool can help you focus on liquidity and avoid bottlenecks in my free case study video.
...and still benefit from the findings today
What you will learn in the Case Study Video
Example Majorel Group:
How a cash planning tool helps you to
- Increase acceptance and understanding of the importance of cash flows
- Shift business focus from pure P&L figures to consider also liquidity effects
- Avoid cash balance surprises
- Improve credibility in dealings with senior management, shareholders, banks and other financing partners
- React proactively and flexibly to challenging situations
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I am Gary Knott, an experienced expert in Excel, data analytics and related training
I have more than 25 years of professional experience including over 20 years at Deloitte in Germany and England and since 2015 as the founder of Knott Consulting. I also have two years’ experience as a Bank Controller at American Express and another two years as financial controller in the travel industry, so I know “your side of the fence”.
Experience and enthusiasm count!