MEET OLIVIER WERLINGSHOFF
Olivier has a banking and a corporate background. Since the start of his career he specialized himself in cash– and treasury management. His main focus is to help “the business” to improve their treasury and working capital processes by releasing trapped cash, reducing costs and to be in control of the cash flows.
Sectors: Retail, Real Estate (development), Dredging, Automotive, Semi-government, Banking
CONNECT
EXPERTISE
- Set up treasury department
- Project Management & implementations of Treasury systems
- Change Management
- Working capital optimizations
- Bank relationship
- International bank account structures
- Order to cash processes
- Cash awareness promotion
- Risk Management
- Cash flow forecast (direct-indirect)
Breakfast Session: Cash Flow Forecasting
| 2-6-2017 | Olivier Werlingshoff | Proferus BV | Sponsored content | Proferus helps companies enhance their forecasting processes to fully take advantage of new opportunities and to get in control over their cash flows. Proferus will host their first breakfast session of a series dedicated to CFOs, Senior Cash Managers and Treasures, this time […]
How to improve your working capital with Trade Finance instruments
| 22-5-2017 | Olivier Werlingshoff | Trade finance instruments are developed especially for companies that deal with export and/or import of goods to reduce risk but also to improve the working capital. Before going into the working capital part first let us refresh the theory. If you are an importer of goods you would like […]
Regulatory demands: compliance required!
| 20-4-2017 | Olivier Werlingshoff | Sponsored content | Complying with regulatory demands is a must, and banks know it. In practice, however, the majority still can’t manage to meet all requirements. Manual solutions prove to be insufficient and important rules are often overlooked. But how does one ensure that all regulatory demands are […]
How can payments improve your working capital? Part I
| 6-4-2017 | Olivier Werlingshoff | Working Capital is the term for the operating liquidity of a company that can be used and is needed to continue the day to day business. To calculate the working capital you have to deduct the current liabilities from the current assets. By managing your account receivables, accounts payables […]
De controller in een veranderende omgeving: Budgetteren als hulpmiddel bij cashmanagement
| 28-2-2017 | Olivier Werlingshoff | FM.nl | Op de website FM.nl vonden wij een artikel van Theo van Houten ( 21 februari 2017) die wij graag met jullie willen delen. Hij schrijft: ‘Zijn de methoden en technieken die controllers tijdens hun studie leerden nog wel relevant nu organisaties in een omgeving werken die […]
4 financiële problemen die bedrijven in gevaar kunnen brengen – Deel II
| 21-12-2016 | Jan Meulendijks | Olivier Werlingshoff | FM.nl | Maandag plaatsten wij het artikel ‘4 financiële problemen die bedrijven in gevaar kunnen brengen‘ waarin twee experts een reactie gaven op het artikel, dat op 12 december op FM.nl geplaatst is. Naar aanleiding van dit artikel hebben we nog meer reacties mogen ontvangen, […]