Putting cash flow first again (TT Nov09 p28-29)

The Treasurer November 2009

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The treasurer’s liquidity forecast disciplines and understanding of business cash cycles can help meet the corporate hunger for a more cash-based view of the world. But cash-based and performance-related targets must be managed within the same incentivisation framework, and an appropriate balance maintained, to avoid potentially distorting behaviour at the expense of the business.

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