Cash forecasting is an art that is rarely perfected. Every organization talks about forecasting more effectively, but few allocate sufficient people, time, and technology to build an effective program. Understanding the importance of an accurate cash forecast that can be relied upon for key financial decisions is critical to making the right investments in forecasting.

 

This ebook gives practical advice for treasurers to develop a cash forecasting program that benefits not just the treasury team, but across the organization in areas such as:

 

  • Forecasting foreign cash
  • The impact of Basel III on corporate investing and borrowing
  • Making treasury a strategic business partner

Get the Free eBook!

Fill out the form below to get your free copy of this comprehensive ebook

You have read Kyriba's privacy policy and consent and agree to the collection and processing of information in accordance with such privacy policy. You may withdraw your consent at any time by contacting treasury@kyriba.com.