Strategic CFO – Strategic Cash Management
Overview
Cash is the lifeblood of every organization, yet many leaders struggle to explain, manage, and plan for it effectively. This session focuses on strategic cash management, capital structure decisions, and financing options available to organizations at different stages of growth. Participants will explore how CFOs balance today's cash needs with long-term strategy, evaluate debt and equity decisions, and communicate cash flow concepts to non-financial stakeholders. The session emphasizes practical frameworks, real-world examples, and modeling approaches that support better cash decisions. A few negotiation videos will be displayed to bring humor and effectiveness to the key points.
Highlights
- Understanding capital structure and financing priorities
- Debt capacity, leverage, and cost of capital considerations
- Cash flow versus GAAP results
- Financing options: debt, equity, crowdfunding, and alternative capital
- Strategic cash policies and liquidity planning
- Raising cash at different stages of an organization's life cycle
- Communicating cash flow and financial health to stakeholders
Prerequisites
A foundational understanding of organizational strategy and financial metrics
Designed For
CFOs and CPAs
Objectives
- Explore how CFOs balance today's cash needs
- Evaluate debt and equity decisions
- Discuss how to communicate cash flow concepts
Preparation
None
Notice
This course is offered by a 3rd party vendor and will not be accessible in the My CPE Tracker section of the ISCPA website. Course access information will be emailed directly to you by Accounting Continuing Professional Education Network (ACPEN).
Leader(s):
- Robert Mims, The Knowledge Institute LLC
Non-Member Price $119.00
Member Price $89.00