Maxime Pichol
AuthorAgicap

Maxime Pichol

Treasury Expert Manager

Maxime Pichol serves as Treasury Expert Manager at Agicap, helping executives and finance teams master and optimize cash management. With deep expertise in risk mitigation, forecasting, and financial process digitization, Maxime regularly shares his insights to help companies reinforce their cash strategy, especially in times of economic uncertainty.

Articles by Maxime Pichol

The Days Sales Outstanding value indicates the length of time customers pay their bill on average.
The advantages of a cash flow forecast are numerous.
Treasury bills are issued by the government and can be purchased by investors at a predetermined interest rate.
Gross profit is the profit of a company after deducting from its turnover all the costs incurred in producing a product or providing a service.
A cash flow hedge protects the cash flow against fluctuations.
The contribution margin measures the profitability of a product.

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