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  • The Benefits and Drawbacks of Constant Currency Reporting

    To portray their businesses in the most favorable light to investors, many corporate organizations grapple with the question of whether to employ constant currency reporting. This approach can be divisive; while some staunchly advocate for it, others oppose it.  However, many major global enterprises embrace constant currency reporting, recognizing its value as a tool that […]

  • Mastering Cash Flow Stability: A Primer on Cash Flow Hedging Strategies

    Cash flow volatility refers to the unpredictable fluctuations in a company’s cash inflows and outflows over a specific period. It’s a natural aspect of business operations influenced by various factors, such as market demand, economic conditions, and unexpected expenses. Understanding and managing cash flow volatility are crucial for businesses because they directly impact financial stability […]

  • Digitizing Treasury: Cloud-Based Solutions vs On-Site Systems

    In the modern realm of finance, the choice between traditional on-site Treasury and Risk Management Systems (TRMS) and modern cloud-based treasury solutions is pivotal. Let’s delve into the transformative benefits of cloud-based systems over their on-premises counterparts. What is an On-Premises Treasury Management System? On-premises TRMS, once a cornerstone of financial automation, now presents several […]