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Optimising Cash and Effective Liquidity Management |
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Journal of Corporate Treasury Management, August, 2010 - This paper examines current issues facing treasurers today as they attempt to improve cash visibility and liquidity management. It suggests automation of bank reporting, reconciliation, and cash forecasting as the most efficient and low-risk way to improve cash visibility. Once cash visibility has been achieved, liquidity management becomes much more feasible. Read more...
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