Remove Cash Flow Forecasting Remove Corporate Finance Remove Data Analysis
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The Treasury Function Gets Strategic

Global Finance

They need efficient tools to manage cash flows, both cash in and cash out, and to predict the impact of something specific to their treasury needs.” Real-time data processing allows for more agile responses to market changes and internal financial shifts,” says Blake.

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A Buyer’s Guide for the Top 10 FP&A Software 2022

The Finance Weekly

FP&A teams are responsible for a variety of activities, including periodic financial close and consolidations, strategic and annual planning, monthly forecasting, cash flow forecasting, financial reporting, financial modeling, and what-if scenario planning and analysis. Why do you need FP&A?