Cash is the lifeblood of all business—even more so in times of economic volatility. The ability to conduct accurate, effective cash forecasting and planning is important if corporations are to avoid a liquidity crisis and remain solvent. Robust cash forecasting solutions are vital to address financing needs efficiently.
Today's corporate treasurers need access to timely, accurate and consolidated information to facilitate cash forecasting. See how Finastra's cash flow forecasting solution can help your financial institution.