Managing the cash Cycle–Accounts Receivable & Payable

Introduction

The cash cycle plays a crucial role in managing working capital and maximizing profitability.
The more effectively you manage the cash cycle, the stronger your cash flow and profit generation will be.
Best practices in accounts receivable and payable management are at the heart of cash cycle improvement.
This course is designed to help you master these practices and optimize cash flow within your organization.
By understanding the financial management cycle in depth, you'll gain the tools needed to develop robust cash and working capital strategies.

Course Objectives

By the end of this course, participants will be able to:

Course Outlines

Day 1: Introduction to Accounts Receivable

Day 2: Developing Effective Strategies to Maximize Cash Collection

Day 3: Managing the Receivables Ledger

Day 4: Achieving World-Class Accounts Payable Processes

Day 5: Harnessing Technology in Accounts Payable Processes

Day 6: Inventory and Supply Chain Management

Day 7: Financial Forecasting and Cash Flow Planning

Day 8: Internal Controls and Financial Risk Management

Day 9: Financial Performance Analysis and Advanced Reporting

Day 10: Practical Application and Future Strategies

Why Attend this Course: Wins & Losses!

Conclusion

The Cash Cycle and Working Capital Optimization Course offers a comprehensive, hands-on learning experience for finance leaders and operational managers aiming to transform their organization’s cash flow and profitability.
You will gain deep expertise in accounts receivable and payable management, inventory optimization, cash forecasting, and advanced financial reporting — all designed to strengthen your strategic impact and operational efficiency.

Register today to become a forward-thinking leader who can confidently guide your organization toward greater financial health and long-term success.

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  • All
  • Sep 2025
  • Dubai (UAE)