- Augmented Analytics
- Business Analytics
- Big Data Analytics
- Data Governance & Data Fabric Architecture
- Performance Management & Improvement
- Data-Driven Strategy & Transformation
- About us
- Insights Room
- Webroom & Events
HOW TO ENSURE CASH REMAINS VIABLE, SIMULATING INFINITE SCENARIOS IN TIMES OF CRISIS
Under the current recession scenario, where uncertainty is king, economic and financial balance is under stress for most companies.
How can CFOs ensure liquidity remains viable in times of crisis and lead through uncertainty in the New Normal?
Check out how the “SDG CashFlow War Room”, powered by SAC Planning, is the CFO´s ally to build, simulate and control every possible scenario and manage liquidity in a context of negative margins and seize new growth opportunities.
Fabio Bombana, Partner & SDG Group CFO, presents how this agile tool enables the Office of Finance to autonomously develop plans and test multiple assumptions on the projected financial position to address the recovery phase safely, quickly and resiliently.