Cash forecasting can turn reactive treasury into proactive decision-making. The further you can see into the future, the more prepared you’ll be. While any amount of forecasting is helpful, the tools you use impact how prepared you’ll be.
To better connect your treasury team to new opportunities, we’re updating our Cash Management tool with Auto Roll and What-If Scenario Analysis (WISA). Auto Roll increases your visibility into expected future values, while WISA lets you manipulate data to see how different situations would affect your finances.
In our recent webinar, Product Manager Jake Fernandez took us through GTreasury's newest updates for cash management and forecasting, as well as tips and best practices for both. Watch the recording to learn how to stay agile, harness new tools, and prep your business for whatever happens next.