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Cash Flow Management: Key Steps

Spreadym

Cash flow management is the process of tracking, analyzing, and optimizing the flow of cash into and out of a business to ensure it has enough liquidity to meet its financial obligations and achieve its strategic goals. This helps in anticipating cash surpluses and shortages.

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Navigating treasury trends in 2024: challenges, strategies, and the role of technology

Future CFO

This trend is expected to persist into 2024, influencing strategic decisions and prompting a focus on cost management and expense reduction. Risk mitigation and strategic financial management The increasing complexity of risk factors requires companies to adopt a more strategic and analytical approach to risk policy.

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