What are companies now doing to free up capital? Below are some of the things that can be addressed:
- What strategies are companies using to free/use working capital?
- How are people improving their financial reporting capabilities?
- What are the control capabilities these companies operate in?
This is what I am asking for…. target areas are leading practices in finance(working capital optimization, reporting automation, control enhancements) the paper should contain case studies of innovative work that has resulted in automation, and headcount reductions freeing up cash.