GTreasury Webinar – Modern Cash Management & Forecasting
23-01-2023 | treasuryXL | GTreasury | LinkedIn |
Cash flow and working capital are the lifeblood of your business. How are you protecting your cash positions and reducing risk in these times of increasing business volatility?
Today’s digital cash visibility and forecasting solutions provide amazing opportunities for companies and their decision-making processes. In this webinar, we provide an in-depth look at how these modern solutions help you, your department, and your company reach your full potential.
Jake Fernandez, GTreasury – Product Manager, will discuss:
- The pros and cons of common cash forecasting practices using spreadsheets and ERPs.
- How a modern treasury management platform can provide immediate value for cash visibility and forecasting.
- How you can benefit from these applications.