Treasury & Finance Best Practices
Summer may be ending, but with our latest newsletter, your cash management optimizations are just beginning. Watch a session on mastering FX, see how GoTo’s treasury team gained visibility across 50+ bank accounts, and more.
As GoTo’s operations grew, so did its bank mix. Long, manual processes were slowing the treasury team down every time they updated cash reports and forecasts. Find out how they started saving hours with automated bank data aggregation.
Amidst market volatility, managing FX risk can be challenging. Watch this recorded session for actionable strategies on how to improve FX forecasting and optimize data flow.