Cash Forecasting in a Changing Environment – Utilize Cash Forecasting Tools to Reduce Exposure in Today’s Environment

An overview of cash forecasting and treasury strategies to plan and manage cash liquidity and liquidity management. It is a practice treasurers can utilize to estimate the financial position of an organization over a specified period of time
Working Capital Overview: What You Need to Know

Explore the types of treasury working capital, Working capital strategies, and information on the working capital cycle
ETE 2023: Kyriba Session – Real-Time Treasury

2023 Elire Treasury Experience Elire and Kyriba Partner session on Real-Time Treasury and the evolution of data-driven finance
ETE 2023: Understanding Bank Connectivity during ERP Planning & Migration

2023 ETE session recording for “What You Need to Know – Understanding Bank Connectivity During ERP Planning & Migration”
ETE 2023: Elire & MHC/AP Automation Treasury

This 2023 Elire Treasury Experience session featured insights from experts Stephen Kwiatkowski, Managing Consultant at Elire, and Nick Fritz, Solutions Engineer at MHC, on the evolving collaboration between Treasury and Accounts Payable (AP).
ETE 2023: Cash Forecasting 2.0

Cash Forecasting and Liquidity planning with AI tools and advanced technology
ETE 2023: Cash Forecasting in a Changing Environment

ETE 2023 session on how to utilize cash forecasting tools to reduce exposure in today’s environment
ETE 2023: Working Capital

In this 2023 ETE session on working capital management, learn about key strategies for optimizing working capital to maintain financial health and adaptability
ETE 2023 Customer Innovation

Elire and Varsity Brands partnered to implement Kyriba and saw an 85%, increase in productivity and a 90% increase in forecast accuracy
ETE 2023 Partner Session

Webinar recording from ETE 2023 “Partner Session: On-Prem to Cloud Migration with Oracle”