by Maddie Caron | Jul 27, 2020 | Blog Posts, Business Process Excellence, Treasury
Companies are focused on improving working capital as the business environment continues to fluctuate and remain unstable. Implementing a Treasury Management System (TMS) can bring additional cash visibility to decision-makers within companies by allowing them to make...
by Jordyn Fugere-Burmeister | Oct 11, 2019 | Blog Posts, Conference, Treasury
Elire has been busy on the Treasury and Financial Services front! We’ve attended Association for Financial Professionals (AFP) Regional conferences in San Diego, Dallas, Milwaukee, Phoenix, and we’re looking forward to attending the national AFP conference in... by Aaron Fruit | Jan 24, 2018 | Blog Posts, Cloud ERP
Elire recently completed a five-part webinar series highlighting functionality in Oracle Cloud Cash Management. The webinar series focused on features essential to Treasury Operations – including Bank Reconciliation, Cash Forecasting, and Payments in the... by Aaron Fruit | Nov 21, 2017 | Blog Posts, Cloud ERP
Proper support of a firm’s business objectives can be achieved through the proactive management of a firm’s global cash position and forecast. Liquidity management is a core treasury function that provides knowledge for minimizing an enterprises operational... by Aaron Fruit | Oct 13, 2017 | Blog Posts, Cloud ERP
Thank you for all who joined us for Part 1 of our Cloud Cash Management Webinar Series: An Overview of Cash Management in Oracle Cloud! Next up is Part 2: Automated Bank Reconciliation – Next Stop, the CLOUD. Join Elire Consultant, Tony Barbato, as we explore...