Kyriba White Paper: International Cash Management: Technology Best Practices for Today’s Treasurer
New York, NY (PRWEB) July 04, 2012
Register to download the white paper here: http://www.web.kyriba.com/icm-wp_sm
Treasury professionals do not need to travel all over the globe to get the information they need to optimize the international cash and treasury management operations. Simply read Kyriba’s white paper on International Cash Management and gain valuable insight into the opportunities and capabilities available for managing global cash and treasury.
International business is on the increase, accounting for a greater proportion of many organizations’ revenues and cash flows. Companies are continuing to venture into other regions of the world in search of new customers, suppliers and business partners. As a result, today’s treasurers are managing greater complexity when it comes to international cash management.
Register to download the white paper and find out how you can transform your treasury operations into a centralized function.
About Kyriba Corporation
Kyriba is the global leader in corporate treasury automation. We deliver a fully-integrated, best-in-class, cloud-based (SaaS) treasury management solution through a user-friendly, highly flexible and secure platform that meets corporate treasury needs and covers the complete chain of liquidity, financial instruments and back office management, including worldwide bank connectivity. Kyriba allows for optimized decision-making, minimized risks, enhanced control and compliance and increased operational productivity. Founded in 2000 and headquartered in San Diego, Kyriba has operational and support centers in New York, Paris, London, Tokyo, Osaka, Milan, Madrid, Minsk, Rio de Janeiro, Hong Kong. Visit kyriba.com for more information.