Do you want to streamline your treasury tasks? In this episode of CurrencyCast we explain how automation tools help treasurers focus on their main priorities, liquidity management and cash flow forecasting.Disclaimer: This information is being shared for informational purposes only and was originally published by Kantox (Source)

Tune in to:

🔹The connection between currency risk management and cash flow forecasting
🔹The use of automated systems to help treasurers reduce FX risk
🔹The role of technology in streamlining currency risk management

Transform your treasury tasks with automated FX risk management.