The High-Stakes Business of Managing Corporate Cash

Trade turmoil, crypto, and AI are shaking up a once staid business. Banks are offering business clients new ways to cope.

Corporate treasury management has become more dynamic as higher interest rates, supply chain shocks, and instant cross-border payments reinforce the maxim that cash is king. Banks are offering multinational clients global liquidity mechanisms and blockchain-assisted money movement, letting treasury departments better centralize cash, improve forecasting, and adopt tokenized assets.

Read our latest ebook to explore:

  • How businesses are unlocking value through stronger liquidity management, forecasting, and pooling
  • Ways banks are helping corporate clients strengthen support for real-time payments and token services
  • Investing in data quality and governance to prepare for AI-assisted forecasting
Request The High-Stakes Business of Managing Corporate Cash ebook