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PANEL WEBINAR

8 strategies finance teams can use to protect and bring revenue in faster

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Do you want to improve your company's financial stability and increase revenue? Ready to learn actionable tactics from industry experts that you can implement today to protect and bring your revenue in faster?

In today's economic climate, protecting revenue and ensuring financial stability are top priorities for businesses. However, identifying and implementing effective financial strategies can be challenging. Many finance teams struggle to balance revenue protection with growth. This is where our expert panel comes in, offering insights and practical advice that are easy to understand and implement.

Your panellists bring a wealth of experience and expertise in cash flow management. They will share invaluable insights on forecasting, payables, expenses, and receivables management, providing best-practice advice to help you protect and accelerate revenue.

Here’s what you’ll gain by attending:

  • Insightful analysis: Gain an in-depth understanding of the eight key strategies that can protect your revenue and speed up cash flow. Learn not just to identify these strategies, but how to effectively implement them.
  • Actionable strategies: Your experts will provide you with practical, proven techniques to enhance your financial management. These are not just theories; they are actionable steps you can implement immediately to see results.
  • Interactive experience: This isn’t a one-way conversation. You’ll have the opportunity to engage directly with the panellists, ask your pressing questions, and participate in live polls.

Speakers

Head of Product
Chaser

With more than 5 years of product management experience, Charlotte is the Head of Product at Chaser, the market-leading accounts receivable automation software. She's passionate about helping businesses streamline and optimize their processes, especially in ensuring timely invoice payments. Charlotte firmly believes that automation and artificial intelligence can significantly enhance a business's accounts receivable processes.

Head of Finance
Lightyear

Lorna is a seasoned CFO with over 20 years experience across industries including: software, sports, and manufacturing. She excels in mergers and acquisitions, due diligence, restructuring, insolvency, and audit. Her diverse experience and comprehensive financial knowledge make her a valuable asset and a fountain of knowledge when it comes to driving business growth and profitability.

Head of Revenue Operations
Float

Polly is the Head of Revenue Operations at Float Cash Flow Forecasting, aligning marketing, sales, and customer success to drive revenue growth. She champions 13-week cash flow forecasting for SMEs, enabling business owners to plan ahead confidently without flying blind.