Forecasts are the primary driver that guides business activity in many companies.However if the forecasts are inaccurate and not integrated, companies risk failing to meet customer demands, internal goals, profitiably and ultimately continued success.
Download this whitepaper to learn how to optimise your forecasting from demand planning to unit sales forecasting.
This whitepaper will:
- Identify the challenges of forecasting
- Guide you through clear and affordable solutions
In its 5th annual edition, the research led by CeTIF in collaboration with TAS Group is enriched by the participation of 14 Italian financial institutions. Goals for 2015 were to investigate the expected benefits, investment costs, expected runnings, and changes to liquidity management and operational models as impacted by the T2S go live.
Consistent, accurate cash flow forecasting is arguably the holy grail of corporate treasury. In this eBook, we introduce six questions every treasurer should ask about their cash flow forecasting process.