Maxime Pichol
AuthorAgicap

Maxime Pichol

Treasury Expert Manager

Maxime Pichol is Treasury Expert Manager at Agicap, where he supports business leaders and finance teams in mastering and optimizing their cash management. With strong expertise in risk management, forecasting, and digitizing financial processes, Maxime regularly shares insights to help companies strengthen their cash control, particularly in uncertain economic environments.

Articles by Maxime Pichol

Signature of a cash flow agreement
A 12-month cash flow forecast is an important tool for optimally controlling the cash flow in a company.
The debt collection process is initiated by the creditor when he has not received a payment from a customer or business partner.
Typing on key board
Gearing net debt ratio definition calculation example
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