Integrating Balance Sheet and Cash Flow Planning: 7 Steps to Drive Results

Date posted
11 November 2021
Watch time
60 minutes

In this webinar, corporate planning expert Steve Player and Workday Adaptive Planning expert Bryan Rogers share their 7 tips to drive year-end planning results through blending balance sheet and cash flow planning.

You'll learn how to:

  • Drive breakthrough improvements by identifying where disposable cash can be used for capital investments
  • Improve cash collections by reducing days sales outstanding (DSO)
  • Use your payment practices to secure your supply chain
  • Use data visualization to turn reports into effective stories that drive action

Let's talk: explore Workday Adaptive Planning or book a 1:1 Reporting and Dashboard Optimization Session

Whether you're ready to explore Workday Adaptive Planning or you're already live and looking to improve your reporting and dashboards, our team is ready to help. Click below to book a one-on-one session.