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  • Top 5 Benefits of Data-Driven Automated Cash Forecasting

    Effective cash forecasting is vital for businesses of all sizes, helping ensure liquidity and enabling strategic decision-making. However, many organizations still rely on outdated, manual processes that waste valuable time and limit their ability to make informed financial decisions.   This is where the benefits of automated cash forecasting are most impactful. With the right tools […]

  • The CashAnalytics Guide to the 13-Week Cash Flow Forecast

    Cash flow forecasting is routinely cited as the most crucial area of focus for finance teams looking to maintain control over liquidity and financial planning. By implementing a cash flow forecasting plan such as the 13-Week Cash Flow Forecast, organizations can better understand their data on hand and get trusted insights into their cash positions […]

  • Essential Tools and Techniques for Cash Flow Forecasting 

    Too often, inaccurate cash flow forecasting prevents a company from making confident decisions. Whether considering a potential investment or optimizing loan repayments, treasurers are stuck without real-time cash flow data.    Inaccurate data can result from outdated and manual cash forecasting processes. Analysts can make too many assumptions about current cash positions and capital structures, forcing […]

  • How to Integrate Cash Flow Forecasting Software into Your Business Strategy 

    With business moving faster than ever, you need accurate cash flow forecasting to drive strategic growth and make informed decisions. It will help you predict future liquidity requirements, helping businesses proactively manage their cash so they are prepared for any financial challenges or opportunities that arise. The cash flow forecasting process supports day-to-day operations and […]

  • How Top Finance Leaders Manage Cash and Liquidity 

    Effective cash and liquidity management can help CFOs and finance leaders grow their businesses but keep them stable at the same time. Managing your cash flow accurately will allow your organization to meet financial obligations while still capitalizing on investment opportunities. However, there can be challenges, such as outdated data, lack of real-time visibility, and […]

  • 7 Ways to Optimize Your Global Cash Management 

    When a company’s cash and liquidity management is inefficient, CFOs struggle to make accurate decisions due to incomplete or inaccurate data. Because these numbers are all over the place, either the treasury team wastes hours and hours just combing through different databases, or the CFO ends up hiring external experts to analyze the company’s data. […]

  • Optimize Your Treasury with Cash Positioning Software

    In today’s fast-paced financial landscape, efficiently managing your company’s cash flow and liquidity is crucial to its success. To optimize your cash flow, you need the right tools to provide you with updated data to help you make informed decisions. One such tool that has gained widespread acclaim is GTreasury’s cash positioning solution. In this […]

  • Boost Your Cash Flow Visibility: Strategies and Benefits

    Cash flow visibility is a challenge for treasury teams, and it plays a big role in accurate cash forecasting and strategic decision-making. This article will delve into the importance of cash flow visibility, explore strategies to improve visibility within your business, and highlight the benefits of having a clear understanding of your organization’s cash position. […]

  • Cash Flow Forecasting: A Comprehensive Guide

    Making informed decisions is the key to success in finance. Strategic planning and decision-making are vital for ensuring scalability and sustainability. However, a lack of visibility into the future often hinders these decisions, impeding progress. To overcome this challenge, cash flow forecasting plays a pivotal role. In this article, we will delve into the intricacies […]