Ebook: Kyriba - The CFO’s Toolkit - Minimize Risk and Ensure Compliance
Risk mitigation and regulatory compliance are two of every CFO’s most pressing concerns. Download this ebook to see how a treasury management solution can limit your organization’s exposure to risk and noncompliance.
Ebook: Making the business case for supply chain finance
This ebook outlines some of the key issues for organizations who may be considering implementing supply chain finance, or are simply looking for details of how a supply chain finance program could benefit their organization.
Kyriba: Your Trusted Global Partner for Treasury Management Solutions
Find out the key reasons why Kyriba’s SaaS treasury management system is the most-used solution for cash and risk management, trusted by more than 1,500 of the world’s largest and most respected organizations.
eBook: Five Questions CFOs Should Ask Themselves to Maximize Growth
In an environment of regulatory change, globalization, market volatility and emerging business and financial risks, the role of the finance function, and the demands on financial leadership, continue to evolve. This ebook outlines some of the key questions that CFOs need to ask, in order to position their organization for maximum growth.
Ebook: Four Steps to 100% Global Cash Visibility
Lack of visibility over cash balances and risk exposures is cited year after year in industry surveys as treasurers’ top priority and biggest challenge. This ebook outlines straightforward steps that corporate treasurers can take to achieve 100% visibility on global cash balances.
SaaS and Cloud: Beware of the Wolf in Sheep's Clothing
With the growth of SaaS solutions in treasury, it seems that everyone is clamoring to be “in the cloud,” but not all solutions are the same. This guide helps you clear up the vocabulary and help you understand why the distinction matters. There are many software providers in the treasury software industry masquerading as true SaaS vendors, so it is important to help you find the wolf in sheep’s clothing.
Cash Forecasting: A Clear View of the Cash - Treasury & Risk Special Report
In the wake of Basel III and a highly volatile FX market, effective cash forecasting has become even more critical for treasurers. Read valuable insight from a number of treasury and banking veterans into how organizations can optimize their cash forecasting process, and drive meaningful business value.
Perfecting the Cash Forecast: Adding Business Value to the Organization
Cash forecasting is an art that is rarely perfected. However, when done correctly, it can add huge value across the organization. Download this ebook to find out how you can make treasury a strategic partner to the entire organization though effective cash forecasting.
The Business Case for a Payment Hub
This eBook will explain the benefits of implementing a payment hub, shared services, or a combination of the two, as well as solutions to improve workflow processes and mitigate payment fraud, which is the most dangerous threat to a treasurer’s reputation and career.
Building the Business Case for a Treasury Management Solution
Corporate treasury departments understand when the time is right to implement a treasury management solution (TMS). After all, experts and analysts agree that a TMS provides significant benefits by improving overall efficiency, time savings and control. This ebook outlines some of the key areas where a TMS can provide significant business benefits, as well as real-world examples of the value that a TMS can deliver.
Six questions every treasurer should ask about their cash forecasting process
Consistent accurate cash flow forecasting is arguably the holy grail of corporate treasury. Learn what six questions you need to ask yourself before you embark on your forecasting initiative, in order to make it as reliable and beneficial as possible.
eBAM Treasury & Risk Special Report
Hear from experts at Kyriba and e5 Solutions how to prepare your organization for eBAM.