Prepare Your Cash Management Strategy for Market Changes
In uncertain markets, it’s critical to be proactive and ensure your cash management strategy is adaptable. Join Kevin Bell, Trovata’s Director of Sales Engineering, to learn how you can strengthen your organization’s cash management strategy by implementing critical forecasting best practices.
You’ll learn how to:
- Establish and maintain an accurate forecast baseline that enables meaningful analysis
- Identify upcoming threats and growth opportunities
- Improve cash forecasting accuracy through variance analysis best practices
Prepare Your Cash Management Strategy for Market Changes
Speaker

Since starting his career with tech startups serving in a wide variety of roles, Kevin has spent over a decade learning and exploring possibilities with tech solutions ranging from public cloud infrastructure to the latest SaaS applications. At Salesforce, he focused on bringing innovative sales, service, and marketing solutions to organizations in the process of digital transformation before leading a team of high-performing solution engineers delivering value at scale. Now with Trovata, he’s helping finance and treasury teams understand how advanced technology can be applied to overcome traditional challenges and achieve maximum benefit for their organizations.