+43 1 5854830
info@slg.co.at
Consulting
Treasury Review & Concepts
Treasury Benchmarking
Cash Management
Corporate Finance
Risk Management
Treasury Systems
Treasury Organization
Treasury: Roadmap to AI
Asset Management
Liquidity optimization
training sessions
Overview
Current dates
Courses
Cash Management
Corporate Finance
Risk Management
Innovation and processes
SAP in Treasury
Seminars in English
In-house seminars
Speakers
Publications
TreasuryLog
Annual report radar
Treasury Survey
Study: Security in payment transactions
Study: FX hedging strategies in the DACH region?
Study: Corporate financing in the DACH region
Reference book "Corporate Treasury Management
Events
Financial Symposium
Treasury & Finance Convention
Treasury on Tour
Treasury Roundtables
Career
Contact
About us
SLG as an employer
Career paths
Open positions
SLG Community
SLG Seminar Scholarship
About SLG
Company
Success Stories
References
Social commitment
Contact
Press
EN
DE
Select page
" All events
Efficient work with Excel
November 12
SAP Cash Management
:
Transparent control of planning, cash flows, and liquidity
SAP Analytics Cloud in Treasury: Modernizing Liquidity Planning and Reporting
»
Practical Excel skills for the financial sector
Add to calendar
Google Calendar
iCalendar
Outlook 365
Outlook Live
Details
Date:
November 12
Event category:
Risk Management
Event tags:
Basics
Venue
Vienna
Gertrude-Fröhlich-Sandner-Strasse
Vienna
,
Austria
1100
Austria
Telephone
+436649699174
Organizer
German