CFOs and Treasurers of multinational organizations are being asked for real-time visibility into cash balances and cash forecasts to deliver higher cash returns. Whether the focus is delivering higher cash returns, preparation for tax code changes, reduced borrowing as interest rates begin to climb, or optimizing currency hedging programs - treasury teams benefit from greater transparency into global cash and liquidity. In this webinar, you'll learn:
- Top five reasons for improving cash visibility
- Barriers to achieving complete transparency into cash and liquidity
- Liquidity structures to optimize cash deployment
- Which bank connectivity technology is best for you
Fill out the form below to receive your recording.
Manager, Actualize Consulting
VP of Strategy, Kyriba