Recorded Webinar: International Cash Management - Strategy & Reality
New York, NY (PRWEB) May 31, 2012
Playback the webinar here: http://goo.gl/VNIRn
Optimizing the international deployment of your organization’s cash and treasury management is a key concern of any organization that has business overseas. Click here to playback the webinar to hear the discussion on International Cash Management strategies and realities corporations face when implementing or expanding their international treasury operations, especially in Europe and Latin America.
Playback the webinar here: http://www.web.kyriba.com/international_cash_management
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, Milan, Minsk, Rio de Janeiro, Hong Kong and Chongqing. Visit kyriba.com to find out more.