Corporations
In today's volatile marketplace, efficient management of cash flow is a key driver for success. A holistic view of the Receivables, Treasury and Payments functions will help corporations mitigate risk and optimize liquidity. SunGard’s AvantGard solution suite provides a corporation with a single view of cash and risk which can then optimize businesses processes for improved management of credit risk, collections, cash management, treasury management and payments processing. By fostering collaboration between suppliers, buyers, banks, and trading partners, organizations can improve the flow of data across the financial supply chain.
| If Your Role Is… |
And Your Needs Are… |
View These Products |
| Treasurer |
- Cash flow monitoring, budget preparation and compliance with accounting standards
- Cash positioning and forecasting
- Foreign exchange and short-term investing and borrowing
- Capital market activities management
- M&A activity and insurance and pension programs
- FX & Interest rate hedging
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| CFO |
- Centralized view of cash flows
- Automation & workflow across the Order-to-Cash and Cash Management functions
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| Credit & Collections Professional |
- Less labor intensive credit management processes
- Automation, collaboration and system integration to regain control of accounts receivables
- Visibility of corporate credit risk exposure and accurate cash forecasting
- Reduced operational costs and requirements to meet Sarbanes-Oxley compliance
- Reduced DSO, past due A/R and bad debt expense
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| Product |
Description |
| AvantGard |
A liquidity management solution for corporations, financial institutions and the public sector that provides visibility into cash flows and operational control of treasury, receivables and payments. |