5 Tips for Managing Your Cash Forecast in 20 Minutes
Overcome the 5 Primary Challenges of Cash Management and learn how you can improve your company’s cash management & positioning in just 20 minutes.
Managing your company’s cash operations can be challenging, especially in today’s fast-paced business environment, but it doesn’t have to be. These 5 simple tips will help you overcome the manual monotony of Excel and utilize Open Banking innovations to securely and accurately manage your cash position. Why spend your time manually building reports and forecasts when you could be focusing your valuable time on making strategic decisions that will grow your business?
Join Scott Harrington, Chief Finance Officer at Trovata, for this snackable education session on finance management.
Scott brings over 20 years of finance and accounting experience to Trovata, including financial leadership in high-growth publicly traded and privately held companies, including Microsoft, Screenlife (acquired by Paramount Pictures/Viacom), and Coinstar. Most recently, Scott held key finance roles at two of Seattle’s fastest-growing tech unicorns – Qumulo and Highspot. During his time at Qumulo, Scott was instrumental in scaling the business through hypergrowth and raising over $250M in equity through funding rounds. Scott began his career at Moss Adams, in Seattle, where he earned his CPA after graduating with a BA in Accounting from Western Washington University.