Overcoming Cash Management and Forecasting Challenges
Without automated forecasting, you might struggle with limited cash visibility, tedious manual processes, and underutilized idle cash. Finance teams can now leverage CashAnalytics as part of GTreasury or as a standalone product.
Key Takeaways
Learn how automated forecasting compiles data from multiple sources to create detailed cash forecasts and monitor variances.
Understand the importance of data-driven forecasting to meet working capital demands and optimize Free Cash Flow (FCF) by reducing Days Sales Outstanding (DSO).
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