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Thursday, 23 April 2026 | 09:00 - 09:40

Rethinking cash flow: practical ways to meet your cash targets – every time

Location:Room G3

Today’s markets are unpredictable, making it essential to manage cash and supplier relationships effectively. This session will show how flexible payment options – either by themselves or combined with supply chain finance – can help organizations become more resilient, improve cash flow, and consistently meet cash targets. Using real examples and data, we’ll explain how finance and procurement leaders can leverage flexible payment tools to achieve real results – without relying solely on traditional bank loans.

Hosted by

2 speakers

  • Nick Frost

    Group Treasurer & Director of Investor Relations

    Morgan Advanced Materials plc

  • Daniel Smith

    Director of Origination EMEA

    Orbian