By Alaina Roussel
Cash management refers to the management of cash and treasury in a business unit or corporate, aiming at producing more income by keeping the cash in the workflow.
This expertise includes especially the analysis of financial risk, cash concentration and the hedging management.
Find out more about who we are, where we’ve come from, and where we’re headed.
Find out how our solutions can help you manage and optimize your company’s liquidity, cash flow, banking communications, and other financial activities effectively and efficiently.
Payment Factory
Automate, track & control all of your inbound & outbound payments from one centralized system.
Cash & Liquidity Management
Automate a continuous flow of cash to the right places across your global business accounts.
In-House Banking
Configure and manage intra-group transfers, loans, and financial compensation from a central SaaS platform.