Synergy between a bank and fintech provider bring Finance teams to a new level Cash flow forecasting remains a persistent challenge for many businesses. Despite being one of the most critical components of financial planning, forecasting processes often remain manual, error-prone, and siloed across departments. As a result, many teams continue to rely on complex … Read more

Cash Forecasting is a Fundamental Priority for Modern Treasury & Finance Teams For as long as corporate treasury has existed, cash and liquidity management have been two of the primary responsibilities entrusted to practitioners. Today, these responsibilities often include cash forecasting and working capital analysis tasks as well, and in recent years, the emphasis placed … Read more

By 2025, 80% of the domestic high value clearing (RTGS) volumes will be ISO 20022 – based with all reserve currencies either live or having declared a live date, as Swift are currently estimating. Furthermore, we are now witnessing the digital transformation of cross border payments through the global migration to the ISO 20022 global … Read more

The Rapidly Evolving World of Corporate Payments has Layers of Complexity If you were to ask any of the millions of treasury and finance professionals around the world to define the term “corporate payments”, it’s likely that you would receive a very diverse range of responses in return. And yet, it’s possible that every one … Read more