Event Details
The managing and organizing of the accounts payable and cash are vital importance to the effective control of working capital and cash flow. This workshop will develop your general financial knowledge, awareness and your specific accounts payable and cash management.
CONTENT
*The Accounting Environment
· Accounting Terminology
· Accounting and Financial information
· Sources of Finance
· Financial Position
*Cash Management
· Reasons for Holding Cash
· Cash Handling and Security
· Cash Administration
*Working Capital and Cash Management
· Working Capital Requirement
· Managing Working Capital
· Cash Improvement Techniques
· Bank Facility (Line of credit)
*Accounts Payable Systems
· Invoice Registration and Matching
· Acquisition/Payment process
· Purchase order processing (POP)
· AP links with the General Ledger (GL)
*Cash Budget and forecasting
· Forecasting tools and Techniques
· Cash Budgeting Process
· Cash Control
*Internal Control in Accounts Payable
· Internal; Control in Accounting
· Internal Control
· Analysis Tools to Manage Risk
FOR WHOM:
Accountants, Auditors, Finance Managers, Accounts Payable Managers, Sales and Marketing Managers, Treasurers and other who perform related functions.
TRAINING METHODOLOGY
The training methodology combines lectures, discussions, group exercises and illustrations. Participants will gain both theoretical and practical knowledge of the topics. The emphasis is on the practical application of the topics and as a result participant will go back to the workplace with both the ability and the confidence to apply the techniques learned to their duties.
This course is available in the following locations:
Ghana - $6000
Rwanda - $7000
UK - $8000
USA - $8000