As we enter 2024, planning and budgeting are top of mind for many treasury teams, especially amid a volatile market. Effective cash management and forecasting can help you prepare for what’s next with increased visibility into your cash flows as new challenges arise.
On January 18th, GTreasury's Jake Fernandez “Cash Management and Forecasting: Automation for 2024,” demonstrated how to enhance visibility into your liquidity and automate your cash forecasting processes to save your team valuable time and energy during this busy time of year. In this recording, we’ll address common challenges of manual forecasting and how to resolve these pain points with automation and scenario modeling tools.
GTreasury’s cash management and forecasting tools offer a full, centralized view of your liquidity and the ability to make more strategic decisions with increased forecasting accuracy. You’ll leave this webinar with a better understanding of how to implement these tools and strategies to benefit your organization.
We look forward to seeing you there!