Wed Nov 17 CST (12 days ago)
In your timezone (EST): Wed Nov 17 3:00pm - Wed Nov 17 4:30pm
Learn how to identify, manage and control liquidity risk, and understand the critical elements in operational and contingency liquidity. Attendees will establish best practices when forecasting cash flow needs and sources. Finally, review external funding and asset liquidation options.
Who Should Attend;
This webinar is beneficial for accounting staff, financial analysts, board of directors, CFOs, branch managers and staff who are interested in learning how to manage the financial growth of the credit union.
Partner, Financial Management Services Inc