Cut Cash Forecasting Time by 90% and Boost Accuracy by 30%
See how GTreasury's AI-amplified cash forecasting software can eliminate manual processes, improve forecast accuracy by 30%+, and give you real-time visibility into your cash position.
Key Features
Seamless Data Integration
Direct connections to major ERPs (including Workday) and any banks eliminate manual data entry and ensure forecast accuracy.
Automated Variance Analysis
Compare forecasted cash flows to actuals automatically, with proactive notifications for unusual variances and clear breakdowns by driver.
Transaction-Level Drill Down
Navigate from high-level cash summaries to detailed transaction and customer-level data instantly through intuitive dashboards and reports.
Scalable Solutions That Grow With You
Built-in flexibility lets you easily update forecast models as your business evolves, with multi-business unit consolidation reporting.
key features
What to Expect from Your Demo
Automated Cash Forecasting in Action.
Watch how our solution connects directly to your banks and ERP systems to automatically capture and categorize transactional data, reducing weekly forecasting time by 90%.
AI-Enhanced Forecast Accuracy
Discover how GSmart Forecast Insights uses AI to streamline variance analysis, identify data patterns and outliers, and provide clear, actionable insights automatically.
Real-Time Cash Visibility Across Business Units
See how to forecast by business unit, reporting entity, and currency within one comprehensive model, going beyond bank balances to strategic cash flow visibility.
Flexible Forecast Models Built Your Way
Experience our Excel-like interface that lets you customize cash flow categories, sub-totals, and reporting calendars to match how you actually run your business.

