Cash and liquidity management are more important than ever and improper cash management significantly increases your organization’s exposure to risk.
In recent times, stories about data breaches and hackers are prolific; making it easy to ignore more mundane risks faced by corporate treasurers, such as:
Check out the Many Faces of Corporate Treasury Risk eBook to discover the best ways of managing the cash management risk within your organization.
"91% of corporate treasurers report a full lack of visibility over their company's payments."
White PaperIs Your Treasury Technology Aligned with Your Needs? A Functional Analysis & Leading Practices Guide
Recently updated with 2016 survey data, download this informative white paper from Strategic Treasurer and get an in-depth, third party review of the overall context of today’s treasury responsibilities.
White Paper5 Keys to Strategic Cash Management
In today’s highly regulated and globalized treasury environment, cash management should play a strategic role in a company’s financial health, and requires the alignment of all necessary resources.
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