COVID-19 & Credit and Cash Management
Credit and cash management is an integral element of a company’s COVID-19 planning. Management teams concerned about COVID-19 must actively evaluate their credit and cash requirement​​​​​​​s, develop appropriate actions under different scenarios, and assess potential risks.

Topics will include:

  • Cash management strategies
  • Credit agreements & credit facilities
  • How covenants are being handled
  • Impact of government actions – Federal & State
  • Michael Rivera

    HOST - ACG LA chapter CEO

  • Brian Davidoff

    MODERATOR - Partner, Greenberg Glusker

  • Adam Feit

    Market President, Los Angeles Region, MUFG Union Bank

  • Brandon Ferrera

    Southern California Market Executive, Fifth Third Bank

  • Brent Horstman

    Partner, Sheppard Mullin

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