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  • November Employee Spotlight: Sébastien Ducroz

    We are so excited to feature Sébastien Ducroz as our November Employee Spotlight. Read below to discover more about Sebastien, his professional journey, and what makes him successful. Employee Name: Sébastien Ducroz Location: France Job Title: Developer Length of time at GTreasury: 16 years at Coprocess Q. What do you believe are your key strengths? […]

  • October Employee Spotlight: Frances Sun

    We are so excited to feature Frances Sun as the GTreasury October Employee Spotlight. Read below to discover more about Frances, her professional journey, and what makes her successful. Employee Name: Frances Sun Location: Sydney, Australia Job Title: Solution Analyst Length of time at GTreasury: 5+ years Q: What do you believe are your key strengths? A: My […]

  • How to Leverage Automation in your FX Exposure Management Strategy

    In today’s increasingly interconnected and volatile markets, managing foreign exchange (FX) risk and exposure is a critical challenge for CFOs and treasury teams. Currency fluctuations, market volatility, and geopolitical risks are constant threats that can disrupt financial performance and expose organizations to significant losses. Treasury teams must efficiently balance risk and return while ensuring visibility […]

  • 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 However, many organizations still rely on outdated, manual processes that waste valuable time and limit their ability to make informed financial decisions.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 […]