Cash Flow Management Webinar – February 11th
February 11 @ 10:30 am - 11:30 am| $150 – $200
GFOA Alberta, in partnership with Tamara Sloboda , CPA Municipal Consulting, is pleased to bring you new LIVE webinars in 2021. These LIVE webinars will be based on hot topic issues identified through our membership and PD Task Force throughout the year. Additional LIVE webinars will be added to the list as some of these new hot topic issues become timely!
New for 2021, the second LIVE webinar, Cash Flow Management, covers the following:
- Determine key internal controls policies necessary for fraud prevention in the Municipal Office.
- Become familiar with key practices related to treasury management
- Lay the groundwork for developing a municipality’s policies and procedures for payables and receivables
- Understand policies and procedures for determining and procuring banking and borrowing services
The problems of limited or declining revenues coupled with increasing expenditure levels are of ongoing concern to municipalities. This webinar will focus on information & best practices to help leaders better understand policies, procedures, and optimal techniques related to the cash flow management including receivables and payables.
For all the details to be covered and questions answered in this second LIVE webinar, Cash Flow Management, please click on the attachment: Cash Flow Management – Feb.11th
You can either register for this “Single LIVE Webinar Only” for $150 here and earn 1.0 PD Credits, OR, once the date has past, register for it as a “Webinar-on-Demand” through our new Learning Management Software (LMS) .