Corporate Frontier Services


Call Us

+6 088 731 570

Follow us :

Remote Online Learning: Strategic Cash Flow Management, 27-28 October 2021 via Zoom


Cash flow management is a critical part of business continuity planning for Small and Medium Enterprises (SMEs) and cash is the lifeblood of any business, especially in a crisis. With operations of most industries shutting down and operations scaled back in response to the pandemic, many SMEs are looking to implement cash management strategies to survive.

Financial objectives, goals and decisions in the form of cash flows, liquidity, receivables, inventory, payables, are daily operational aspects of business that needs to be and that has to be monitored on a daily and on-going basis. Planning and control of these elements are fundamental to a going-concern.

The program addresses issues related to operational financial aspects, budgets and capital budgeting.   


The objectives of the seminar are to provide:

  • An understanding on the reasons and need for financial planning and forecasting
  • An insight to the importance of current assets and management of inventory, receivables, cash and cash equivalents, and payables
  • An understanding of cash flow statement and budgets
  • Explain the concept of capital budgeting and the application of various techniques

100% HRDF SBL-KHAS CLAIMABLE. Direct Deduct from Levy.

For more information, please contact the following Program Consultant:

Ms.Joan / email: / Tel: +6088731570

Mr.Azrul / email: / Tel: +6088731410

Ms. Emily / email: / Tel: +6088731412

Ms.Tracy / email: / Tel: +6088731575


Leave a Reply

Your email address will not be published. Required fields are marked *

About Author
Willaim Wright

Voluptas feugiat illo occaecat egestas modi tempora facilis, quisquam ultrices.

Follow us on