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Corporate Treasury Insights
Principles and Practices for Modern Finance
Cover Image for Effective Cash Flow Forecast Models: An Expert Guide
Learn how to create an accurate cash flow forecast with our expert guide. Improve your financial planning and ensure steady liquidity for your business.
Stan Markuze
Stan Markuze
October 30, 2024
Cover Image for How Corporate Treasury Management Reduces Financial Risks
Learn how corporate treasury management reduces financial risks and boosts stability. Discover strategies and best practices to protect your company’s financial health.
Stan Markuze
Stan Markuze
October 28, 2024
Cover Image for Modern Cash Budgeting: A Farewell to Spreadsheets
Cash budgeting has attracted increased attention over the past couple of years...
Stan Markuze
Stan Markuze
February 7, 2024
Cover Image for The ROI of Intelligent Treasury Management
ROI is a critical factor for the introduction of any new software into a company’s tech stack...
Stan Markuze
Stan Markuze
January 25, 2024
Cover Image for A Framework for Semi-Automated Cash Forecasting
Cash forecasting should be viewed as a central pillar of intelligent treasury management...
Stan Markuze
Stan Markuze
January 24, 2024
Cover Image for What is a Treasury Management System?
Treasury management is a broad topic, and treasury management systems (TMS) offer different capabilities depending on the needs of an organization...
Stan Markuze
Stan Markuze
January 15, 2024
Cover Image for Modern Real Estate Treasury Management
Treasury management in the real estate sector is becoming increasingly critical, especially in the current high interest environment. High interest rates introduce new risks, as well as new opportunities...
Stan Markuze
Stan Markuze
January 8, 2024
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