Financial Optimization

MONITORING BANK DEPOSITS
AND OPTIMIZE FINANCE.

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the evolution of the economic and financial context makes it difficult to correctly monitor and evaluate the balance of bank loans and their costs, preventing correct planning in the short to medium term.
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it is necessary to set up a work based on the reading and interpretation of the Risk Center of the Bank of Italy to make it a strategic financial instrument.

POSSIBLE ACTIONS


• Elaborate and interpret the report provided by the Risk Center.


• Renegotiate banking conditions.


• Rethinking the mix of bank credit lines
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• Redefine a correct balance between short and long-term debt.


• Use financial planning models.

EXPECTED RESULTS


• Reduction of the cost of money.


• Checking conditions with the banking system.


• Punctual value of guarantees on loans / credit lines.


• Control of under or over-use of bank credit lines and mix regulation.

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