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  • Strategic Treasurer & GTreasury Present the 2023 Treasury Technology Analyst Report

    Strategic Treasurer, in partnership with GTreasury, has released the 2023 Treasury Technology Analyst Report.  The 2023 Treasury Technology Analyst Report serves as a definitive guide for thoughtful financial stewardship in the digital age, aiding practitioners in exploring how treasury technology meets treasury needs. The report delves into technology trends for this year and beyond, current market […]

  • 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. […]

  • How to Overcome 7 Cash Flow Forecasting Challenges

    Cash flow forecasting offers a window into the future to help organizations exercise greater control over their cash flows, and businesses should utilize short, medium, and long-term cash forecasting to ensure financial stability. However, various challenges can often hinder accurate cash flow predictions, which can lead to cash shortages and inefficient use of cash surpluses.  […]

  • 5 Ways to Improve Your Cash Visibility

    What is Cash Visibility? Cash visibility refers to the real-time monitoring, analysis, and forecasting of an organization’s cash position. Managing the available cash across different accounts and entities allows treasurers to optimize cash utilization, minimize idle cash, and ensure timely financial obligations. Accurate cash visibility also allows better management of working capital, optimization of investments, […]