Cash Management and Cash Flow Strategies for Construction

Presented on:
September 3, 2020 10:00 AM PT
1 hour

Join us for an on-demand webcast on cash management and cash flow strategies for construction companies.

Improving cash flow and developing a decision-making process for managing liquidity can give companies a strategic advantage. To help define your process, we’ll provide an economic update as well as discuss the current interest rate environment, investment best practices, how to protect cash, and how to improve cash flow.



Aaron Faulk, CPA, Partner, Moss Adams

Aaron has been in public accounting since 1997. In addition to leading audits and reviews for closely held organizations, he has extensive experience in mergers and acquisitions, projections, cash flow management, operational consulting, advising on banking and bonding issues, and strategic planning. He also frequently provides consultation services for clients to help improve operations.

Aaron McFarland, CFP®, Financial Advisor, Moss Adams

Aaron has worked in the finance and accounting industries since 2005. He’s responsible for coordinating all stages of the financial planning process, including risk assessment, asset allocation, portfolio rebalancing, investment implementation, and portfolio monitoring customized to the needs of his clients. Aaron specializes in creating financial plans that help align his clients’ personal business goals.

Michelle Walker, CFA®, Director of Investment Strategy, Moss Adams

Michelle has worked in the financial services industry since 1993 and is experienced in multi-asset class allocation, portfolio construction, and macroeconomic analysis, as well as traditional and alternative manager due diligence. As director of investment strategy, Michelle leads our Investment Research and Portfolio Management (IRPM) team and the Investment Committee (IC).

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Applicable Industries