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Resource Library

Forecasting Skills: How to Be an Effective Cash Forecaster
Ready to level up your cash forecasting process? Learn four key skills to become and effective cash forecaster.

Digitizing Treasury: Cloud-Based Solutions vs On-Site Systems
Explore the differences between traditional on-site treasury management systems and modern cloud treasury solutions in our latest blog.

Daily Cash Flow
Explore the uses, benefits, and limitations of daily cash flow forecasts as part of our comprehensive series on forecast time horizons and methodologies.

Every CFO Needs to Track These 8 Cash Flow KPIs. Here's Why.
Discover essential cash flow KPIs to monitor your company's financial health. Learn how to track, measure and improve these crucial performance metrics.

Big Data in Finance
Discover how finance teams can harness big data to uncover strategic insights, drive better decision-making, and transform financial operations for competitive advantage.
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Audit-Ready, Always: How Treasury Teams Can Build Confidence Through Automation
Stay audit-ready always. Learn how treasury teams can ensure compliance and confidence through automation and real-time data.

A Blueprint for Effective Hedge Accounting
Explore the benefits of hedge accounting and learn how Ripple Treasury can help support your organization's risk management goals.

8 Critical Activities Supported by Your Cash Flow Forecast
Did you know that your cash flow forecast can support a broad range of critical cash management and planning activities?

7 Ways to Optimize Your Global Cash Management
Explore 7 methods to optimize your global cash management processes to make more effective financial decisions backed by data.

Balance Sheet Hedging Health Check: 5 Essential Questions to Ask
Is your balance sheet hedging working? Learn more about how a treasury management platform can improve your treasury risk management strategies.

5 Reasons to Automate Your Cash Forecasting
Expert treasury insights on cash forecasting automation. Practical guidance and best practices for corporate finance teams from Ripple Treasury.

5 Challenges of Year-Over-Year Constant Currency Reporting
Explore the challenges of constant currency reporting year-over-year and gain insights to enhance your foreign currency risk strategies.

5 Balance Sheet Hedge Challenges That Create Risky Positions
Discover the weaknesses that may impact your balance sheet hedge program and stay informed on how to avoid these financial challenges.

3 Types of Hedging: Which Hedge Strategy is Right for You?
Expert treasury insights on hedge strategies. Practical guidance and best practices for corporate finance teams from Ripple Treasury. Explore more on...

3 Steps to Achieve Seamless Cash Flow Management with a Cash Management Solution
Discover the top 3 steps to achieve more efficient cash management with a modern cash management solution.

How AI-Driven AR/AP Analytics Give CFOs a Strategic Edge
AI-driven AR/AP analytics give CFOs predictive visibility into working capital trends, enabling proactive decisions that protect liquidity and fund growth.

Adapting to Cyber Risks: How Healthcare CFOs Can Protect Liquidity
Learn about recent cyber-attacks in the healthcare industry and discover how a treasury management system can help protect your business.

5 Ways to Improve Your Cash Visibility
Discover tools for better cash visibility and fast, efficient cash positioning in the latest list from Ripple Treasury.

4 Tools to Get Ahead of Unpredictable Markets
Discover how you can help your business prepare for unexpected market shifts with a treasury management platform.

Top Benefits & Limitations of FX Hedge Programs
Explore the pros and cons of FX hedge accounting programs to make more informed decisions for your financial strategy and treasury management.

Optimize Your Treasury with Cash Positioning Software
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.

Cash Forecasting Data Visualizations
Transform complex cash flow data into actionable insights with powerful visualization techniques that reveal trends, highlight variances, and enhance strategic decision-making.

Cash Flow Metrics in Focus
Explore how cash flow metrics have become critical performance indicators alongside traditional revenue measures for evaluating business health and value.

Leveraging Cross Currency Net Investment Hedges to Boost Earnings Through Interest Income
Learn how to leverage cross-currency net investment hedges for enhanced interest income & earnings growth with a hedge accounting solution.

What Are Cash Flow Hedges for Corporate Treasury Teams
Learn about the benefits of cash flow hedges with these 4 important facts and see how a treasury management system can help.
Explore Success Stories

Linxon
Learn how Linxon automated cash forecasting across 16 global business units, uncovering millions in idle cash and saving 48 working days annually.

Lebara
Lebara consolidated 5 online banking systems across 5 countries, closing compliance gaps and giving finance leadership real-time cash visibility.
Explore Articles

How to Automate FX Exposure Management: From Identification to Hedge Accounting
Automate FX exposure management end-to-end: from identification and netting to hedge execution, effectiveness testing, and accounting.

The Treasury Leader's AI Glossary: Key Terms Every CFO and Treasurer Should Know
This treasury AI glossary outlines essential terms CFOs and treasurers should know when exploring AI automation in treasury operations.

The AI Inflection Point in Finance: Why Treasury Leaders Can't Wait
Explore the reasons treasury leaders need to implement treasury AI before they fall behind.
Explore Videos

Letter of Credit
Manage letters of credit in real time with Ripple Treasury. Track facilities, automate fee accruals and approvals, and post accounting entries instantly for full audit visibility.

Byron Simms, Treasurer at Amius, on Partnering with Ripple Treasury
For Byron Simms, the decision to partner with Ripple Treasury (powered by GTreasury) came down to three priorities: automation, centralization, and reporting.

Closed Books, Open Risk
This 35-minute session focuses on why reconciliation has become a governance and audit exposure issue, and what leading organizations are doing about it.
Explore Product Information

Reconciliation Dashboard
See reconciliation health in real-time with Ripple Treasury’s Cash Reconciliation Dashboard.

Ripple Treasury Overview Brochure
See how Ripple Treasury is the World's Most Adaptable Treasury Platform in this overview brochure outlining all of our solutions we have to offer.

Unified Treasury
Ripple Treasury brings digital asset positions, digital asset account balances and traditional cash into a single dashboard, giving you a real-time, holistic view of everything you hold, in every currency and every form.
Explore Reports

Financial Services AI Risk Management Framework (FS AI RMF): Compliance Alignment Guide
How Ripple Treasury's GSmart AI maps to all 16 control categories in the U.S. Treasury's Financial Services AI Risk Management Framework.

Cash Forecasting in Multinational Organizations
Expert treasury insights on multinational cash management. Practical guidance and best practices for corporate finance teams from Ripple Treasury.

The Essential Guide to Cash Visibility: Strategies for Success
Download GTreasury's Essential Guide to Cash Visibility and discover how to transform manual cash tracking into automated, real-time insights that empower strategic financial decision-making and optimize working capital.
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