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What is Kyriba?

A comprehensive grasp of cash and liquidity is crucial for the effective functioning of any treasury department. Without such insight, it becomes increasingly challenging to make sound financial decisions and achieve strategic objectives. Kyriba offers timely and accurate visibility into global cash positions, equipping treasury teams to create reliable forecasts that foster confidence within the organization. With its exceptional cash forecasting features, Kyriba presents a variety of methods for data input, importation, modeling, and assessment of cash forecast performance. This versatility enables clients to improve both the precision and the timeline of their cash projections, spanning days, weeks, months, or even years. Navigating the complexities of managing multiple global bank accounts often introduces significant challenges, including compliance and security risks. Kyriba’s bank relationship management solution addresses these issues effectively, promoting enhanced oversight of all global bank accounts while ensuring proper segregation of duties, preserving audit trails, monitoring signatories, and aiding in FBAR reporting. By simplifying these processes, organizations not only bolster their financial governance but also position themselves for greater operational efficiency and strategic agility. Ultimately, the integration of Kyriba's solutions can transform treasury operations into a more dynamic and responsive function.

What is Cash Forecaster ?

Imagine a simple and effective cash flow software that transforms the forecasting process into a seamless task. Cash Forecaster has been carefully designed with the user's needs at the forefront, eliminating the need for cumbersome and complex spreadsheets. Just think about the freedom you'll gain from never having to struggle with complicated Excel formulas again. Visualize all the aggravations you'll bypass by opting for this innovative software solution. Furthermore, you will save valuable time that would otherwise be spent figuring out which numbers should be included in different reports. The significant time efficiency becomes apparent when you can easily analyze both optimistic and pessimistic scenarios for your business thanks to the built-in sensitivity analysis feature. This functionality streamlines the execution of 'what-if' scenarios, turning a previously laborious task into a swift and straightforward process. In the end, Cash Forecaster not only simplifies your financial analysis but also enables you to concentrate on making informed strategic decisions without being overwhelmed by intricate computations. As a result, the software not only enhances productivity but also fosters a more strategic approach to managing your business finances.

Media

Media

Integrations Supported

BI Book
CommodityPro
Finario
Likwidity
Sapience HCM
Stuut

Integrations Supported

API Availability

API Availability

Pricing Information

Pricing not provided

Pricing Information

$196.20 one-time payment

Supported Platforms

SaaS

Supported Platforms

Windows

Customer Service / Support

Web-Based Support

Customer Service / Support

Standard Support
Web-Based Support

Training Options

Documentation Hub
Online Training

Training Options

Not specified

Company Facts

Organization Name

Kyriba

Company Location

United States

Company Website

www.kyriba.com

Company Facts

Organization Name

Bowraven

Company Location

United Kingdom

Company Website

www.bowraven.com

Categories and Features

Cash Flow Forecasting

Not specified

Treasury

Cash Management
Forecasting
Liquidity Management
Payment Management

Working Capital

Not specified

Categories and Features

Budgeting

Asset Planning
Balance Sheet
Capital Asset Planning
Cash Management

Cash Flow Forecasting

Not specified

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