Working with multiple bank portals and spreadsheets for cash management and payments is time- consuming, inefficient, and frustrating. This session covers pain points and key considerations that accompany the quest for cash visibility, simplified cross-border payments, and streamlined reporting — and provides a roadmap to success. You will hear firsthand how Greif created a comprehensive, connected treasury solution that provides the centralized cash visibility the company needs, along with the ability to easily initiate and manage payments.
- Learn strategies and solutions to streamline the process of working with multiple bank portals, leading to increased efficiency and productivity.
- Explore options for integrating and automating cash management processes across various bank portals to reduce manual tasks and errors.
- Gain insights into best practices, technologies, and tools for improving cash visibility, streamlining payments, optimizing cash flow, and enhancing financial control.