Forecasting Working Capital in Uncertain Times
May 13, 2026 | 12 PM - 12:30 PM ET | Complimentary
Customer Credit Analysis: Protecting Cash Flow When Risk Is Rising
In volatile economic conditions, treasury teams face growing pressure to protect liquidity as customer credit risk increases. This 30‑minute webinar examines how treasurers can strengthen customer credit analysis and due diligence to better anticipate collection delays, defaults, and upstream cash‑flow risk. Learn how financial and non‑financial credit insights can be incorporated into cash forecasting and liquidity planning when historical patterns no longer apply.
Key Takeaways:
- How treasury teams can adapt customer credit analysis to better assess inflow risk and protect liquidity in volatile markets.
- How forward‑looking credit due diligence strengthens cash‑forecast accuracy and supports more proactive liquidity planning.
Speakers: TBD
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For a deeper dive into this topic and more, join us July 15, 2026 for AFP Treasury Connect - Working Capital: Strategy and Tactics for Resiliency.
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