Saltar al contenido principal
GSmart AI: Setting the Standard for Secure, Adaptable, and Agentic AI
La tesorería es pionera en una nueva era para los directores financieros
Búsqueda
Búsqueda
Búsqueda
Búsqueda
Inicio de sesión de cliente
Centro de ayuda
Spanish
English
German
Spanish
A quién servimos
Funciones
directores financieros
Tesoreros
Contabilidad
ES
Soluciones
TMS adaptable
Visibilidad del efectivo
Visibilidad del efectivo
Banca
Contabilidad y libro mayor
Reconciliación
Previsión de efectivo
Previsión de efectivo
Capital circulante
AR/APP
Conectividad
Conectividad
Integración de ERP
Biblioteca de conectividad
GSmart AI
Pagos
Banca interna
Redes
Pagos
Pagos
Banca interna
Gestión de riesgos
Gestión de riesgos
Instrumentos financieros
Exposición al riesgo
Divisas
Tasa de interés
Gestión del ciclo de vida de la deuda y la inversión
Contabilidad de coberturas
Auditoría y cumplimiento
Servicios gestionados
Partners
Partners
Banks
Recursos
Eventos
Biblioteca de recursos
Empresa
Acerca de nosotros
Liderazgo
Noticias
Carreras
Contactar
Solicita una demostración
Solicita una demostración
Solicita una demostración
A quién servimos
Funciones
directores financieros
Tesoreros
Contabilidad
ES
Soluciones
TMS adaptable
Visibilidad del efectivo
Visibilidad del efectivo
Banca
Contabilidad y libro mayor
Reconciliación
Previsión de efectivo
Previsión de efectivo
Capital circulante
AR/APP
Conectividad
Conectividad
Integración de ERP
Biblioteca de conectividad
GSmart AI
Pagos
Banca interna
Redes
Pagos
Pagos
Banca interna
Gestión de riesgos
Gestión de riesgos
Instrumentos financieros
Exposición al riesgo
Divisas
Tasa de interés
Gestión del ciclo de vida de la deuda y la inversión
Contabilidad de coberturas
Auditoría y cumplimiento
Servicios gestionados
Partners
Partners
Banks
Recursos
Eventos
Biblioteca de recursos
Empresa
Acerca de nosotros
Liderazgo
Noticias
Carreras
Contactar
Spanish
English
German
Spanish
Búsqueda
Búsqueda
Búsqueda
Solicita una demostración
Solicita una demostración
Solicita una demostración
Netting Savings Calculator
Calculator
Number of entities
Base currency
USD
EUR
GBP
CHF
SEK
DKK
NOK
% of entities on the base currency
50%
Number of currencies
Monthly Inter Company volume
EUR
Number of payments per months
% of payments that are cross border
50%
% of payments that are not hedged
50%
FX savings
EUR
0.00
Float savings
EUR
0.00
Payments savings
EUR
0.00
Total estimated savings per annum
EUR
0.00
See GTreasury in Action
Get connected with supportive experts, comprehensive solutions, and untapped possibility today.
Solicita una demostración
Solicita una demostración
Solicita una demostración
Software & Tools
Bank Connectivity
Cash and Liquidity Management
Multilateral Netting
Interest Rate Risk Software
FX Risk Mangement
Global Payments
Hedge Accounting Software
Advanced FX Workflow
ERP Banking
In-House Banking Treasury Software
Corporate Treasury Software
Driver Based Forecasting Software
Cash Flow Forecasting Software
Process & Setup
Streamline Your Treasury with a Treasury Management System
Master Cash Visibility
Unlocking the Value of Richer Payment Data
Reduce Costs with Multilateral Netting
Payment Hub
A Blueprint for Effective Hedge Accounting
Leverage Automation in your FX Exposure Management Strategy
Differences between Direct and Indirect Cash Forecasting
Convenant Forecasting
Monthly Cash Flow Forecast
Daily Cash Flow
13-week Cash Flow
Cash Flow Forecasting Template
Cash Forecasting Automation
Cash Flow Forecasting Process
Accuracy & Analytics
Why Managing Exposures in Spreadsheets is Costing You a Lot of Money
4 Advanced Treasury Tools to Get Ahead
Treasury Scenario Analysis
How to increase accounts receivable forecasting accuracy
Customer Stories
BearingPoint
Hitachi
The Adecco Group
Baird
SSP
Keystart Home Loans
Subway
Christian Louboutin
Kingfisher
Nestle
American Airlines
Popular Articles
What is Treasury Risk Management?
When Should You Start a Hedge Program?
Which Hedge Strategy is Right for You?
Real-Time Payments
Real-Time Visibiltiy & Connectivity: The Key to Treasury Success
What are Corporate Payments and How to Manage Them Effectively
A Guide to Bank Fee Analysis
Cash Reporting Platform
Cashflow Forecasting Best Practice
Cash Forecasting Model
Cash Flow Forecasting
Liquidity Management Planning
Liquidity Risk Management
Rolling Cash Flow Forecast
Cash Flow Dashboard
Cash Flow Liquidity
Cash Conversion Cycle
Working Capital Management
Cash Flow KPI
Cash Forecasting Visibility
How High Interest Rates and Inflation Eat Your Cash Flow
5 Reasons to Automate your Cash Forecasting in 2023
Critical Activities Supported by your Cash Flow Forecast