Cash Forecasting: Skills Needed to be a Superforecaster

Discover the four essential skills every finance professional needs to become a superforecaster and how specialized software enhances forecasting capabilities.

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Cash Flow Metrics in Focus

Explore how cash flow metrics have become critical performance indicators alongside traditional revenue measures for evaluating business health and value.

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Quantifying Bad Cash Forecasting

Based on the article content, here's a concise meta description in 150 characters: Discover the real financial impact of poor cash forecasting through quantifiable interest costs, missed opportunities, and unforeseen risks to your business.

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Cash Forecasting Buy In and Engagement are Crucial for Success

Learn why securing organizational buy-in and active engagement are essential for implementing successful cash forecasting processes across business units.

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Bridging the Business Analytics Skills Gap

Discover how finance teams can develop essential data analysis skills to succeed in strategic roles as automation transforms traditional accounting functions.

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Big Data in Finance

Discover how finance teams can harness big data to uncover strategic insights, drive better decision-making, and transform financial operations for competitive advantage.

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Bruker

Discover how Bruker transformed its treasury operations with GTreasury, replacing manual processes and achieving streamlined, scalable financial management.

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What Is a Cash Flow Forecast (Examples + Template)

This CashAnalytics blog post looks what's involved in setting up a new cash flow forecasting process.

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How to Build a Cash Forecasting Model for Your Business

A cash forecasting model creates a Cash Flow Forecast. Learn our recommended process for designing a model that gives your organization the visibility it needs.

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What is Cash Flow Forecasting? How to Build a Cash Flow Forecast

Cash flow forecasting estimates the cash inflows and outflows of a business over time. Learn how to build an effective cash flow forecast.

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Liquidity Management Planning Key Considerations

Understand the core considerations for liquidity management planning and how cashflow forecasts are used to gain visibility of upcoming cash requirements.

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Working Capital Metrics

Understand the key working capital metrics and drivers from a corporate treasury perspective.

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Cashflow Forecasting Best Practice

Understand the three key elements to cashflow forecasting best practice and how they combine to drive successful cash forecasting processes.

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How to Choose the Ideal Cash Management Software Solution

This CashAnalytics blog post looks at the options corporate treasurers have when choosing software to automate processes.

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Cash Flow Metrics in Focus

Cash Flow Metrics and KPIs now feature prominently alongside traditional revenue measures of business performance for many public companies.

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Rising Rates Put Pressure on Accuracy of Cash Forecasts

Accurately forecasting cash positions becomes increasingly important as interest rates rise, due to the opportunity cost of holding uninvested cash.

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How to Increase Accounts Receivable Forecasting Accuracy

This CashAnalytics blog looks at the challenges of accounts receivable forecasting, and what can be done to overcome those challenges.

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Cash Management in a Crisis

A crisis in the business will ultimately have a financial impact and attention will quickly turn to the Treasury department. Learn how treasury teams can guide strategy in times of crisis.

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Cash Forecasting Automation: A Practical Guide

This CashAnalytics post looks explores how a cash forecasting process can be automated, what cash forecasting automation is, and what benefits it can bring.

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Setting Up A Cash Flow Forecasting Process

This CashAnalytics blog post offers practical advice for those who are looking to set up a new cash forecasting process, or refresh an existing one.

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13-week Cash Flow

As part of a series of articles on cashflow forecast time horizons, understand the uses, advantages and disadvantages of a 13 week cash flow forecast.

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Cash Flow Forecasting Template

This CashAnalytics post provides a template outlining how a cash flow forecasting template should be designed for large, multinational companies.

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The Power of Clean Data: A Baseline for Good Forecasting

This CashAnalytics post offers a guide to correct anomalies in large data sets and insights on using data efficiently.

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Covenant Forecasting

Explore the uses, benefits, and limitations of daily cash flow forecasts as part of our comprehensive series on forecast time horizons and methodologies.

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How to Overcome the Key Challenges of Cash Forecasting

This CashAnalytics post explores the key challenges of cash and liquidity forecasting and offers practical advice for how to overcome them.

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State of Alaska

State of Alaska modernized treasury operations with GTreasury, gaining disaster recovery capability and 98% automation for handling $1-2B daily cash flow across 150 bank accounts.

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JOST

JOST manages 150+ bank accounts across 30 business units with CashAnalytics, providing daily visibility and a 12-month forecast for efficient debt and liquidity management.

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CEVA Logistics

CEVA Logistics achieved 100% cash visibility across 1,100 global bank accounts, unlocking $100M idle cash and winning the 2021 TMI award for Best Cash Visibility Solution.

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Stop Managing Cash in the Dark: How Full-Spectrum Liquidity Powers Confident Decisions

Discover how to enhance liquidity management with integrated cash visibility and forecasting. Watch our on-demand webinar to learn strategies for real-time clarity, risk awareness, and confident decision-making. Transform your approach in just 90 days!

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Why Managing Exposures in Spreadsheets Is Costing You a Lot of Money

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ISO 20022 for Corporates: Unlocking the Value of Richer Payment Data

Modernize your payment processes with ISO 20022! Watch our on-demand webinar to learn how enhanced data formats, improved interoperability, and greater payment efficiencies can reduce reconciliation headaches and provide deeper insights into cash flows.

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Leverage Our Expertise

GTreasury's team of technical experts combines 400+ years of experience with extensive derivative knowledge, offering specialized treasury management solutions globally.

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PNC

Streamline your treasury operations with GTreasury's PNC integration. Access real-time account data, initiate immediate payments, and simplify reconciliation with API-powered connectivity.

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Moody's Analytics

Access Moody's asset and liability management SaaS solution through GTreasury. Measure credit, market, and liquidity risks with integrated forecasting, stress testing, and analytics tools.

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The Essential Guide to Cash Visibility: Strategies for Success

Download GTreasury's Essential Guide to Cash Visibility and discover how to transform manual cash tracking into automated, real-time insights that empower strategic financial decision-making and optimize working capital.

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Practical Guide to Bank Reporting Connectivity

Download GTreasury's practical guide to bank reporting connectivity and learn how to automate bank data collection for real-time cash flow visibility, simplified reporting, and enhanced treasury operations.

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Setting Up a Cash Flow Forecast

Discover practical steps to create effective cash flow forecasts with GTreasury's comprehensive guide. Learn proven techniques for accurate financial projections and improved treasury management.

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