CORPORATE LIQUIDITY
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 corporations with a single view of cash and risk helping to optimize businesses processes for improved credit and collections management, cash and 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.
- Improve cash
- Can gain a real-time view of cash positions
- Lower days sales outstanding (DSO)
- Mitigate corporate credit risk
- Reduce past due A/R
- Reduce fraud and error in payments execution
- Execute least cost routing payment instructions
Find out more about Corporate Liquidity