On Thursday, March 19, we held a breakfast seminar at our offices on the topic: "Cash Management: Optimizing Cash Flow to Create Value." The event provided an opportunity to discuss a strategy that positions cash flow as a cornerstone of a company’s financial performance.
Against a backdrop of heightened liquidity pressures, cash management is more than ever a key driver of corporate financial performance. Designed for finance departments seeking to enhance value creation through their cash management, this workshop identified best practices, operational levers, and non-traditional alternatives to counteract the downturn linked to the 2025 monetary policy.
Our speakers :
- Pauline Hampartzounian, Partner and Head of Structured Products;
- Sandra Busquet, Private Wealth Manager at the Cyrus Herez Group, shared her insights on investment strategies and the solutions available in today’s market.
Our experts from the Consulting Division, Brice Euvé and Cécile Dobras, shared several key messages:
- Optimize cash generation by leveraging all factors between EBITDA and cash;
- Gain greater visibility through reliable and structured cash flow forecasts;
- Centralize cash to maximize available funds and improve resource allocation;
- Maximize returns by leveraging tailored investment solutions that go beyond traditional approaches.
Adopt best practices, leverage the right tools, and don’t be afraid to try unconventional approaches!
The Emerson Audit & Consulting teams are available to discuss this further.
On Thursday, March 19, we held a breakfast seminar at our offices on the topic: "Cash Management: Optimizing Cash Flow to Create Value." The event provided an opportunity to discuss a strategy that positions cash flow as a cornerstone of a company’s financial performance.
Against a backdrop of heightened liquidity pressures, cash management is more than ever a key driver of corporate financial performance. Designed for finance departments seeking to enhance value creation through their cash management, this workshop identified best practices, operational levers, and non-traditional alternatives to counteract the downturn linked to the 2025 monetary policy.
Our speakers :
- Pauline Hampartzounian, Partner and Head of Structured Products;
- Sandra Busquet, Private Wealth Manager at the Cyrus Herez Group, shared her insights on investment strategies and the solutions available in today’s market.
Our experts from the Consulting Division, Brice Euvé and Cécile Dobras, shared several key messages:
- Optimize cash generation by leveraging all factors between EBITDA and cash;
- Gain greater visibility through reliable and structured cash flow forecasts;
- Centralize cash to maximize available funds and improve resource allocation;
- Maximize returns by leveraging tailored investment solutions that go beyond traditional approaches.
Adopt best practices, leverage the right tools, and don’t be afraid to try unconventional approaches!
The Emerson Audit & Consulting teams are available to discuss this further.
On Thursday, March 19, we held a breakfast seminar at our offices on the topic: "Cash Management: Optimizing Cash Flow to Create Value." The event provided an opportunity to discuss a strategy that positions cash flow as a cornerstone of a company’s financial performance.
Against a backdrop of heightened liquidity pressures, cash management is more than ever a key driver of corporate financial performance. Designed for finance departments seeking to enhance value creation through their cash management, this workshop identified best practices, operational levers, and non-traditional alternatives to counteract the downturn linked to the 2025 monetary policy.
Our speakers :
- Pauline Hampartzounian, Partner and Head of Structured Products;
- Sandra Busquet, Private Wealth Manager at the Cyrus Herez Group, shared her insights on investment strategies and the solutions available in today’s market.
Our experts from the Consulting Division, Brice Euvé and Cécile Dobras, shared several key messages:
- Optimize cash generation by leveraging all factors between EBITDA and cash;
- Gain greater visibility through reliable and structured cash flow forecasts;
- Centralize cash to maximize available funds and improve resource allocation;
- Maximize returns by leveraging tailored investment solutions that go beyond traditional approaches.
Adopt best practices, leverage the right tools, and don’t be afraid to try unconventional approaches!
The Emerson Audit & Consulting teams are available to discuss this further.
