Global Cash and Liquidity ManagementGlobal Cash and Liquidity Management

Global Cash and
Liquidity Management


Digital disruption and changing customer expectations have made the corporate world more complex. This has radically reshaped the banking landscape and the ways in which corporates interact with banks.

A misalignment has opened up between corporate treasurers’ current cash management priorities and the offerings available from banks. Collaboration will be key to bridging the gap.

The time for open cash management is now!

  

A European perspective
 

The future of cash management: A European perspective

The future of cash management: A European perspective

This white paper addresses, how corporate banks can best capitalize on changing treasurer priorities, and consequent opportunities to align their cash management propositions. What do banks need to do today, to best be placed for tomorrow?

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Asia Pacific: Beyond borders
 

The future of cash management: An APAC perspective

Corporate cash management services in Asia Pacific are at varying stages of maturity in different countries. But these gaps are narrowing, as banks serving corporates and SMEs apply technology and FinTech collaboration to align their cash management offerings ever more closely with customers’ evolving needs.

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The future of cash management: An APAC perspective

 
 

A new reality? Corporate banking and cash management in Asia Pacific

A new reality? Corporate banking and cash management in Asia Pacific

Reacting to Global Changes: Cash Management after COVID-19

Reacting to Global Changes: Cash Management after COVID-19

  

Americas cash and payments
 

Fusion Cash Management and Fusion Global PAYplus Market Brief

Supporting an end-to-end customer journey (Market brief)

An introduction to cash and payments, giving the scope of why corporate treasurers, as well as banks, are adapting a front-to-back approach in cash and liquidity management.

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Do you want to know more about our solutions?

How Finastra can support your global cash and liquidity management needs

Fusion Cash Management addresses the growing ubiquity of faster, modern payments with integrated liquidity management tools and working capital-focused capabilities. The solution enables a bank’s customers to automate payables and receivables, gain real-time cash position visibility, and leverage automated delivery tools for balance and information reporting.

Fusion Cash Management Brochure