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Cash Flow Forecasting as a Risk Management Tool

by Vanguard Software

http://bit.ly/2bB1Ghc

Competent cash-flow forecasting is critical to liquidity risk management, especially for global concerns dealing with foreign exchange volatility. How else to transfer the greatest possible earnings values across currencies? Read more in this article from Treasury & Risk.

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Our collaborative, web-based forecasting applications unite roles, teams and departments in achieving the most accurate forecasts in the world – bar none.