

See, Control, and Optimise With Automated Cash Management
Published by Access Pay
With treasury functions increasingly seen as having a unique set of skills to improve the bottom line, treasury professionals are being called upon to add value above and beyond cash management.
For the modern-day treasurer – who wrestles with traditional duties as well as board-imposed strategic expectations – this means being able to see, control, and optimise your working capital. Your first thought for achieving global cash visibility and forecasting might be to turn to an ERP or TMS – but we’re here to tell you how an automated cash management solution such as AccessPay’s gets the job done better.
Read now to find out more.
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Strategic Planning and Analysis, IT Planning and Management, Forecasting