Cash forecasting remains the #1 priority for Treasurers to improve.
Corporate treasury teams continue to struggle with developing an accurate and reliable cash forecast, affecting their ability to optimize cash returns, meet hedging policies, and mobilize cash globally. FITECH Consultants and Kyriba tackle the reasons why Real Estate treasury teams have difficulty perfecting their cash forecasts and highlight new ways to achieve value through forecasting.
The speakers reviewed:
- Current Forecasting Challenges in Today’s Real Estate Market
- Bank Connectivity/Visibility
- Cash Flow Efficiencies
- Market Connectivity
- ERP Integration
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Presales Manager, Kyriba
Founder and CEO, FITECH