Resource Library
The knowledge base for enterprise finance teams
The knowledge base for enterprise finance teams

Blog
AI-driven AR/AP analytics give CFOs predictive visibility into working capital trends, enabling proactive decisions that protect liquidity and fund growth.
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cash-flow-forecasting

Blog
Read now to learn how Ripple and GTreasury deliver genuine choice, proven efficiency, and unparalleled expertise without the lock-in.
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digital-assets

Blog
Learn how treasury leaders are adapting cash forecasting strategies to navigate tariff volatility, supply chain disruptions, and liquidity challenges in 2025.
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risk-management
fx

Blog
Ripple Treasury: Empowering CFOs with adaptable treasury solutions providing clarity to act on financial decisions through comprehensive connectivity and rapid implementation.
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Blog
Learn how dollar strength and weakness impact treasury operations. Essential insights for financial leaders on currency fluctuations and responses.
treasury-management-system

Blog
Discover three effective strategies to help treasury teams navigate tariffs, FX volatility, and economic uncertainty in today's challenging financial landscape.
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risk-management
fx

Blog
Explore how a Treasury Risk Management System (TRMS) helps treasury teams navigate interest rate cuts and minimize long-term financial risks through strategic planning tools.
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risk-management
ir

Blog
Discover how cash flow forecasting software can support your organization and create more effective cash flow projections.
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Blog
Read now to explore cash flow forecasting solutions and learn how your business can drive more strategic growth.
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Blog
Treasury management reduces risk, lowers borrowing costs and protects against fraud. Learn why it matters strategically and what happens when it breaks down.
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cash-flow-forecasting
risk-management

Blog
Read our latest article to discover why implementing a treasury management system before M&A activity is beneficial for your business.
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Blog
Read our latest blog to learn why fewer accountants are entering the workforce, causing labor struggles for finance teams.
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Blog
Learn how to address liquidity risk with liquidity management strategies that can help your organization thrive financially.
liquidity-management

Blog
Learn about payment reconciliation software and how it can benefit your business's transaction processes in this blog.
payments
connectivity
treasury-management-system

Blog
Learn what payment hub means and why it matters for corporate treasury teams. Expert definitions, examples, and practical guidance from Ripple Treasury.
payments
connectivity

Blog
Gain a comprehensive understanding of treasury risk management and learn how you can implement risk strategies in your organization.
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risk-management

Blog
Learn how to simplify your treasury and boost efficiency by centralizing your core treasury functions with a treasury management system.
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Blog
Learn more about how to make the most of your liquidity with cash positioning software that can help you forecast and prepare for the future.
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liquidity-management

Blog
Discover tools for better cash visibility and fast, efficient cash positioning in the latest list from Ripple Treasury.
liquidity-management

Blog
Explore the facets of corporate treasury management and its importance and learn how a treasury management system can support financial goals.
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Blog
Explore the ways you can hedge foreign currency transactions with cash flow hedging strategies in the latest blog post from Ripple Treasury.
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hedge-accounting

Blog
Explore why using a TMS for payments will help your business streamline payments and eliminate manual processes.
payments
treasury-management-system

Blog
In the 2023 IDC TMS MarketScape Reports, GTreasury is named as a Leader in their Mid-Market and Enterprise reports. Read more about IDC here.
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Blog
A look back on this year's client user conference, Vision 2023, held in Chicago, IL.

Blog
Discover why seamless connectivity and real-time visibility is crucial for treasurers and learn how treasury management software can help.
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treasury-management-system

Blog
Did you know that your cash flow forecast can support a broad range of critical cash management and planning activities?
cash-flow-forecasting

Blog
Do you want to convince your CFO to invest in better cash forecasting and visibility? This article will help you manage some of the objections
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liquidity-management

Blog
Understand the challenges associated with hedging your net income with proxy hedges and how that can support hedge effectiveness.
risk-management
hedge-accounting

Blog
Expert treasury insights on hedge strategies. Practical guidance and best practices for corporate finance teams from Ripple Treasury. Explore more on...
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Blog
Explore how to respond to market volatility with expert hedging strategies and a hedge accounting solution.
risk-management
hedge-accounting

Blog
Is your balance sheet hedging working? Learn more about how a treasury management platform can improve your treasury risk management strategies.
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Blog
Explore FASB's expansion of fair value hedge accounting with the innovative portfolio method and how it can impact hedge effectiveness.
risk-management
hedge-accounting

Blog
Deepen your understanding of the crucial factors of initiating a hedge program and learn how you can implement hedge accounting solutions.
risk-management
hedge-accounting

Blog
Learn how you can respond to high interest rates and inflation that eats your cash flow in a number of different ways.
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liquidity-management

Blog
Expert treasury insights on using derivatives to hedge risk. Practical guidance and best practices for corporate finance teams from Ripple Treasury.
risk-management
hedge-accounting

Blog
Discover the weaknesses that may impact your balance sheet hedge program and stay informed on how to avoid these financial challenges.
risk-management
hedge-accounting

Blog
Learn which financial metrics to include when building your cash flow forecasting dashboard, with insights from real-world examples and best practices.
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liquidity-management

Blog
Explore the pros and cons of FX hedge accounting programs to make more informed decisions for your financial strategy and treasury management.
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fx
hedge-accounting

Blog
Learn how to leverage cross-currency net investment hedges for enhanced interest income & earnings growth with a hedge accounting solution.
risk-management
hedge-accounting

Blog
Expert treasury insights on cash flow hedging. Practical guidance and best practices for corporate finance teams from Ripple Treasury.
cash-flow-forecasting

Blog
Gain insights into why functional currency is crucial in special hedge accounting and learn new strategies on FX exposure management.
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Blog
Rolling cash flow forecast is among the biggest reasons why treasurers have often struggled to convince others within their company. Navigate rolling cash flow forecast with expert guidance from Ripple Treasury.
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liquidity-management

Blog
Discover four key business drivers that strengthen the case for automating your cash forecasting process with specialized software solutions.
cash-flow-forecasting

Blog
Expert treasury insights on cash flow kpis. Practical guidance and best practices for corporate finance teams from Ripple Treasury.
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cash-flow-forecasting

Blog
Learn the art of assessing hedge effectiveness with probability assessments. Elevate your financial strategy & insights with this blog post.
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Blog
Understand the influence of zero percent floors on debt swaps & hedging strategies and how a hedge accounting solution can help your business.
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ir
hedge-accounting

Blog
Expert treasury insights on money hedge. Practical guidance and best practices for corporate finance teams from Ripple Treasury.
risk-management
fx
hedge-accounting

Blog
Explore how zero percent floors can affect hedge programs and learn how hedge accounting software can support your business.
risk-management
hedge-accounting

Blog
Learn about the best approach to safeguard your margins on foreign sales by implementing these FX hedging strategies for corporates.
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hedge-accounting
fx

Blog
Discover the best practices to optimize FX hedge performance reporting, including the nuances of balance sheet hedging vs cash flow hedging.
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fx
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Blog
What are potential challenges of implementing hedge accounting programs? Learn how to ensure treasury and accounting teams stay connected.
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risk-management
hedge-accounting

Blog
Explore the challenges of constant currency reporting year-over-year and gain insights to enhance your foreign currency risk strategies.
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hedge-accounting

Blog
Understand the crucial distinctions in international hedge accounting treatment. Navigate finance confidently with insights from our blog.
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hedge-accounting

Blog
Discover how CapellaFX Reconcile to Zero (RTZ) turns treasury data into actionable insights as one of our FX risk management solutions.
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Blog
Discover the hidden risks of commodity price risk hedging and learn how commodity risk management software can fortify your treasury risk management.
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hedge-accounting

Blog
Learn how to leverage FX hedge accounting to harmonize derivatives with currency gains and losses and how a treasury management system can support your goals.
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Blog
Expert treasury insights on balance sheet hedging example. Practical guidance and best practices for corporate finance teams from Ripple Treasury.
risk-management
hedge-accounting

Blog
Discover the real financial impact of poor cash forecasting through quantifiable interest costs, missed opportunities, and unforeseen risks to your business.
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risk-management
ir

Blog
Learn how to horizon cash management with step-by-step guidance for treasury and finance teams from Ripple Treasury.
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Blog
Learn which AI solutions modern treasury teams are leveraging to improve their cash flow forecasting processes with automation.
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gsmart-ai

Blog
Learn how to ai treasury management with step-by-step guidance for treasury and finance teams from Ripple Treasury.
gsmart-ai
treasury-management-system

Blog
Discover how AI-powered liquidity planning helps CFOs move beyond forecasting to strategic scenario modeling, enabling faster, more confident decisions.
gsmart-ai
liquidity-management

Blog
Compare direct vs indirect cash forecasting approaches with this expert post from Ripple Treasury.
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Blog
Learn how you can leverage automated cash flow forecasting to keep up with today's volatile market.
cash-flow-forecasting

Blog
Explore how cash flow metrics have become critical performance indicators alongside traditional revenue measures for evaluating business health and value.
cash-flow-forecasting

Blog
Discover how finance teams can harness big data to uncover strategic insights, drive better decision-making, and transform financial operations for competitive advantage.
treasury-management-system

Blog
Expert treasury insights on corporate treasury technology. Practical guidance and best practices for corporate finance teams from Ripple Treasury.
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digital-assets
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Blog
Stay audit-ready always. Learn how treasury teams can ensure compliance and confidence through automation and real-time data.
risk-management
treasury-management-system

Blog
Discover the real financial impact of poor cash forecasting through quantifiable interest costs, missed opportunities, and unforeseen risks to your business.
cash-flow-forecasting
risk-management
ir

Blog
Learn how to horizon cash management with step-by-step guidance for treasury and finance teams from Ripple Treasury.
cash-flow-forecasting
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Blog
Learn which AI solutions modern treasury teams are leveraging to improve their cash flow forecasting processes with automation.
cash-flow-forecasting
gsmart-ai

Blog
Learn how to ai treasury management with step-by-step guidance for treasury and finance teams from Ripple Treasury.
gsmart-ai
treasury-management-system

Blog
Discover how AI-powered liquidity planning helps CFOs move beyond forecasting to strategic scenario modeling, enabling faster, more confident decisions.
gsmart-ai
liquidity-management

Blog
Compare direct vs indirect cash forecasting approaches with this expert post from Ripple Treasury.
cash-flow-forecasting
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Blog
Learn how you can leverage automated cash flow forecasting to keep up with today's volatile market.
cash-flow-forecasting

Blog
Explore how cash flow metrics have become critical performance indicators alongside traditional revenue measures for evaluating business health and value.
cash-flow-forecasting

Blog
Discover how finance teams can harness big data to uncover strategic insights, drive better decision-making, and transform financial operations for competitive advantage.
treasury-management-system

Blog
Expert treasury insights on corporate treasury technology. Practical guidance and best practices for corporate finance teams from Ripple Treasury.
treasury-management-system
digital-assets
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Blog
Stay audit-ready always. Learn how treasury teams can ensure compliance and confidence through automation and real-time data.
risk-management
treasury-management-system

Videos
For Byron Simms, the decision to partner with Ripple Treasury (powered by GTreasury) came down to three priorities: automation, centralization, and reporting.
liquidity-management
payments
treasury-management-system

Videos
Expert treasury insights on introducing removing friction boundaries. Practical guidance for corporate finance teams from Ripple Treasury.
treasury-management-system

Videos
Watch how leading treasury teams are connecting risk and cash data to unlock faster, smarter decisions across the entire liquidity lifecycle in this webinar playback.
liquidity-management
risk-management

Videos
Explore how GSmart Ledger delivers intelligent automation for AR/AP analytics while seamlessly integrating with comprehensive treasury intelligence.
gsmart-ai
cash-flow-forecasting

Videos
Modern treasury teams are evolving investment strategies. Learn how to eliminate fragmented workflows & maximize returns with real-time insights.
treasury-management-system
risk-management

Videos
Expert treasury insights on stop managing cash in the dark: how full-spectrum . Practical guidance for corporate finance teams from Ripple Treasury.
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liquidity-management

Videos
Achieve real-time cash visibility in just 90 days. Join our on-demand webinar hosted by Ripple Treasury’s Ashley Pater and Heena Dries to learn how to automate cash visibility, simplify data connectivity, and reduce risk. Gain actionable insights to transform your treasury operations.
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Videos
GSmart Forecast Insights uses AI to automatically analyze variances between forecasted and actual cash flows, delivering actionable insights in seconds.
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cash-flow-forecasting

Videos
Expert treasury insights on explainable treasury ai. Practical guidance and best practices for corporate finance teams from Ripple Treasury.
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Videos
GSmart Ledger is an AI-powered tool that improves forecast accuracy by up to 30% by automating shot- to medium-term cash flow forecasting through real-time accounts receivable and payable data analysis
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cash-flow-forecasting

Reports
This e-book will expose the hidden dangers of the “do-it-yourself” treasury approach and provides a roadmap for making the right technology decisions.
treasury-management-system

Reports
Expert treasury insights on treasury technology analyst report 2026. Practical guidance for corporate finance teams from Ripple Treasury.
treasury-management-system

Reports
Expert treasury insights on cashflow setup. Practical guidance and best practices for corporate finance teams from Ripple Treasury.
cash-flow-forecasting

Reports
See how Data Driven Cash Forecasting transformed treasury operations with Ripple Treasury. Explore the solution here
cash-flow-forecasting

Reports
See how Cash Forecasting Accuracy Measurement transformed treasury operations with Ripple Treasury.
cash-flow-forecasting

Reports
See how Cash Flow KPIs transformed treasury operations with Ripple Treasury. Explore the challenge, solution, and measurable results in this case study.
cash-flow-forecasting

Reports
Download Ripple Treasury’s 6-step guide to building a winning business case for better cash visibility.
liquidity-management

Reports
Expert treasury insights on value forecasting. Practical guidance and best practices for corporate finance teams from Ripple Treasury.
cash-flow-forecasting

Product Information
Ripple Treasury’s accounting automation posts journal entries straight from banking activity, with no manual re-entry and full audit trails.
liquidity-management

Product Information
The J.P. Morgan Account Balances API gives Ripple Treasury clients real-time, self-service access to intraday and historical balance data.
treasury-management-system

Product Information
Ripple Treasury’s API-powered PNC integration gives clients a streamlined experience with real-time data, automation, and immediate payment options.
connectivity
payments

Product Information
Moody’s ALM SaaS solution is now available as an interoperable, integrated component within Ripple Treasury’s ecosystem.
treasury-management-system

Product Information
NDepth Bank Fee Analysis combines powerful technology with learning algorithms to automate monthly bank statement fee analysis and benchmarking.
treasury-management-system

Product Information
Ripple Treasury’s partnership with Infor gives clients full visibility and automation for transactions, including bank balances, payments, and receivables.
connectivity
payments

Product Information
Ripple Treasury has added access to Mosaic, Goldman Sachs’ investment platform, linking cash and investment workflows in one dashboard.
connectivity
liquidity-management

Product Information
See total liquidity across cash and digital assets in one dashboard, with the same drill-down depth for both.
digital-assets
liquidity-management

Product Information
75% of Ripple Treasury’s resources are dedicated to product quality and client support, with follow-the-sun coverage across every region.
treasury-management-system

Product Information
GSmart Risk Insights uses AI to explain complex exposure data in plain language and generate executive-ready risk summaries in seconds.
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risk-management

Product Information
Ripple Treasury Mobile extends secure, enterprise-grade payment approval and cash visibility to iOS and Android, from anywhere.
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Product Information
Ripple Treasury simplifies qualifying, tracking, and reporting hedges while staying compliant with ASC 815 and IFRS 9.
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risk-management

Product Information
A modular treasury management system spanning liquidity, forecasting, risk, payments, reconciliation, and digital assets.
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Product Information
Ripple Treasury integrates with best-of-breed data providers so market curves for deal valuations generate automatically every day.
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cash-flow-forecasting
risk-management

Product Information
Hedge Trackers Risk Advisory and Managed Services deliver over 400 years of combined derivative accounting expertise.
risk-management
ir
fx

Product Information
Get a real-time, account-level view of cash across every bank and region, up and running in as little as 90 days.
liquidity-management

Product Information
Operate like an internal bank to reduce external banking reliance and unlock working capital across entities.
liquidity-management

Product Information
GSmart Ledger’s clients have achieved over 30% increase in forecast accuracy by analyzing AP and AR payment behavior.
cash-flow-forecasting
gsmart-ai

Product Information
GSmart Connectivity connects to any API-enabled bank within 7 days using an intuitive conversational interface, no technical expertise required.
connectivity
gsmart-ai

Product Information
GSmart AI enhances forecasting, risk management, and liquidity modeling with robust security and full auditability.
gsmart-ai
treasury-management-system

Product Information
Turn hours of variance analysis into AI-generated summaries in under 20 seconds, without leaving Ripple Treasury.
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gsmart-ai

Product Information
Over $100 billion is analyzed daily on Ripple Treasury’s platform, supporting 1,000+ businesses in 40+ countries.
cash-flow-forecasting

Product Information
Launch enterprise-grade treasury technology in 90 days instead of building in-house, backed by GSmart AI serving 1,000+ clients.
treasury-management-system

Success Story
The Living Co. replaced manual Excel processes with an integrated treasury system in just six weeks after an acquisition.
cash-flow-forecasting
liquidity-management

Success Story
Lebara consolidated five online banking systems across five countries, closing compliance gaps with real time cash visibility.
payments
risk-management
liquidity-management

Success Story
Barratt Redrow manages 970 million pounds in cash across 32 divisions and doubled its forecast horizon from 6 to 13 weeks.
cash-flow-forecasting
treasury-management-system
payments

Success Story
Jotun built a unified payment hub for 56 operating units across 49 countries, improving visibility and payment control group wide.
connectivity
payments

Success Story
Discover how Linxon automated cash forecasting across 16 business units, uncovering $80 million in idle cash and saving time.
liquidity-management

Success Story
Perstorp solved month end intercompany reconciliation issues across multiple ERP systems with one common shared platform.
connectivity
netting

Success Story
See how Bank of us streamlined ALM reporting, replacing a week long wait for results with faster, more reliable data output.
treasury-management-system

Success Story
Waterton cut data collection time by 90 percent and future proofed its treasury function with a flexible modular system.
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cash-flow-forecasting
liquidity-management

Success Story
Learn how TruStage optimized cash forecasting and positioning with a customizable platform built for treasury professionals.
treasury-management-system

Success Story
TriNet uncovered six figure annual savings on bank fees and saved treasury analysts about 10 hours of work every single month.
treasury-management-system

Success Story
Together Housing Group replaced spreadsheets with a flexible system that boosted data integrity and executive confidence.
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risk-management

Success Story
Sulzer centralized cash data from 100 plus entities into one model with custom, tailored consolidation reports for treasury.
cash-flow-forecasting
connectivity

Success Story
Subway reached 98 percent cash visibility and automated 90 percent of payments across its nearly 37,000 restaurants worldwide.
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cash-flow-forecasting
risk-management

Success Story
After a rigorous vendor review, Stella McCartney's treasury team chose Ripple Treasury to modernize its cash forecasting process.
cash-flow-forecasting

Success Story
See how SSP Group automated and centralized cash flow forecasting, boosting engagement with the process across every business unit.
cash-flow-forecasting

Success Story
Rush University uncovered $50 million in idle cash and earned $2 million in added annual investment income every year since.
treasury-management-system

Success Story
Formed through a private equity backed merger, Rubix gained clear group wide visibility into daily cash trends and forecasts.
cash-flow-forecasting
connectivity

Success Story
Richardson Electronics centralized global cash visibility and simplified FBAR compliance without any added IT department support.
netting
risk-management
fx

Success Story
PIP centralized cash reporting and forecasting across its group, cutting manual reporting effort for its lean treasury team.
cash-flow-forecasting

Success Story
Discover how OneSpan modernized cash forecasting and liquidity planning with a real time, consolidated view of working capital.
cash-flow-forecasting
connectivity
Success Story
ON Semiconductor cut FX costs through payment netting and gained tighter control over its overseas disbursement schedules.
netting
cash-flow-forecasting
fx
payments

Success Story
NCC Group gained 13 week group wide cash visibility and greater certainty over its period end debt covenant compliance status.
cash-flow-forecasting
liquidity-management

Success Story
Learn how Kingfisher centralized cash forecasting for 1,980 stores, gaining 13 week visibility and stronger forecast accuracy.
cash-flow-forecasting

Success Story
Keystart Home Loans brought treasury management in house and gained clearer, more centralized data for business decisions.
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risk-management

Success Story
See how JOST gained daily cash visibility across 150 plus bank accounts and a 12 month forecast for faster treasury decisions.
cash-flow-forecasting
liquidity-management

Success Story
Operating in 24 countries, Innospec built a group wide cash forecasting process on a resilient, cloud based treasury platform.
liquidity-management

Success Story
Discover how Hitachi Metals America centralized payments and GL posting across US entities to cut fees and manual errors.
treasury-management-system
payments
liquidity-management

Success Story
Grupo Walworth cut manual treasury workflows by 30 percent and sped up bank data access across four continents worldwide.
payments
liquidity-management

Success Story
After its spinoff, First Sentier Investors built a corporate treasury desk with deeper FX, risk and liquidity forecasting.
treasury-management-system
risk-management

Success Story
Excellence Logging centralized cash forecasting across 30 plus entities after outgrowing its old spreadsheet based process.
cash-flow-forecasting
liquidity-management

Success Story
Learn how the Diocesan Development Fund cut month end close time by 60 percent and saved up to 30 hours of work monthly.
liquidity-management
connectivity

Success Story
Discover how Computershare streamlined FX dealing and built consolidated reporting across its regional treasury centers.
treasury-management-system

Success Story
Charter Hall automated GL journal processing and saved about 20 working days a month once lost to manual, error prone reporting.
treasury-management-system

Success Story
See how CEVA Logistics achieved full cash visibility across 40 entities and mobilized $100 million in idle cash for working capital.
liquidity-management

Success Story
BearingPoint replaced manual forecasting with a data driven cash flow process that delivers value beyond treasury alone.
cash-flow-forecasting
gsmart-ai

Success Story
Baird automated real time client transactions to the back office, cutting errors and increasing transaction volume without adding staff.
treasury-management-system

Success Story
Learn how Auckland Airport consolidated multiple systems into one platform and gained more confidence in its reporting data.
treasury-management-system

Success Story
The Arnott's Group cut daily cash reconciliation time by 30 percent and shortened its monthly close cycle by several days.
liquidity-management
risk-management
connectivity

Success Story
See how Allan Myers replaced manual cash positioning with an automated system that improved reporting speed and control.
liquidity-management
treasury-management-system

Success Story
Peak Toolworks centralized cash forecasting across 30 plus entities and won back four hours of forecasting time every week.
cash-flow-forecasting
liquidity-management

Success Story
Love's Travel Stops automated cash reconciliation and gained same day visibility even as headcount barely grew with the business.
treasury-management-system

Success Story
Learn how Heritage Bank, Australia's largest customer owned bank, modernized its treasury system and strengthened controls.
treasury-management-system
risk-management

Success Story
American Airlines lifted global cash visibility from 65 percent to 99 percent and automated 90 percent of accounting tasks.
treasury-management-system
liquidity-management
cash-flow-forecasting
fx

Success Story
Bruker cut FX driven P&L volatility by 50 percent and built one centralized treasury platform to match rapid revenue growth.
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risk-management
fx
hedge-accounting