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Resource Library

When Should You Start a Hedge Program?
Deepen your understanding of the crucial factors of initiating a hedge program and learn how you can implement hedge accounting solutions.

Understanding APIs
Discover how APIs enable secure, rapid data exchange between systems and how finance and treasury departments can leverage private APIs effectively.

6 Treasury AI Trends to Support Your Analysis
Discover six AI trends reshaping treasury analysis, from predictive forecasting to automated risk management and data integration.

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.

What Good AI Looks Like in Treasury and Finance: A Framework for CFOs
Learn 5 key criteria to evaluate treasury AI solutions: purpose-built design, transparency, security, inference models, and user control.

Transforming Your Treasury Data with Reconcile to Zero (RTZ)
Discover how CapellaFX Reconcile to Zero (RTZ) turns treasury data into actionable insights as one of our FX risk management solutions.

Top Tips for Effective Cash Flow Projections
Discover how cash flow forecasting software can support your organization and create more effective cash flow projections.

Top 5 Ways AI is Transforming Cash Forecasting
Discover 5 ways AI transforms cash forecasting: enhanced precision, streamlined workflows, scenario planning, transparency, and strategic alignment.

Top 5 Common FX Risk Management Mistakes
Uncover the top 5 FX risk management mistakes to avoid and how treasury management software can support your financial goals.

Top 5 Benefits of Data-Driven Automated Cash Forecasting
Effective cash forecasting is vital for businesses of all sizes, helping ensure liquidity and enabling strategic decision-making. However, many organizations still rely on outdated, manual

The Treasury Leader's Guide to AI in Treasury Management
Learn about the ins and outs of AI use in treasury management operations and how you can adapt AI treasury solutions for your team.

The Four Most Popular Time Series Cash Forecasting Methods
Explore four popular statistical cash forecasting methods, understand their applications, and learn how to select the right approach for your business needs.

The CFO's Blueprint for Complete Exposure Control
Learn how leading organizations are consolidating all of their exposures into one unified dashboard. You'll see how connected data transform risk management from a manual burden into a strategic advantage.

Fx Volatility Management for Corporate Treasury Teams
Discover three effective strategies to help treasury teams navigate tariffs, FX volatility, and economic uncertainty in today's challenging financial landscape.

Stop Overpaying on FX: Reduce Costs with Multilateral Netting
Learn how to reduce FX transaction costs and optimize cash flow management with GTreasury’s netting technology. Watch our on-demand webinar, “Stop Overpaying on FX: Reduce Costs with Multilateral Netting,” hosted by Daniel Cugni, to discover actionable steps for streamlining intercompany payments and minimizing currency exposure.

Quantifying Bad Cash Forecasting | Ripple Treasury
Discover the real financial impact of poor cash forecasting through quantifiable interest costs, missed opportunities, and unforeseen risks to your business.

How the Rise of Private Equity Helped Popularize the 13-week Cash Flow Forecast
Once a Private Equity specialty, 13-week cash flow forecasting has become a mainstream financial practice embraced by businesses across all sectors.

How To Set Up a Best Practice 13-week Cash Flow Forecast
13 weeks is the most popular cash forecasting time horizon. Uncover how to set up a best practice 13 week cash flow forecast.

Tariffs Return in 2025: Why CFOs and Treasurers Are Prioritizing Real-Time Cash Forecasting
Learn how treasury leaders are adapting cash forecasting strategies to navigate tariff volatility, supply chain disruptions, and liquidity challenges in 2025.

How Treasury Teams Can Stop Chasing Market Events
Expert treasury insights on stop chasing market events. Practical guidance for corporate finance teams from Ripple Treasury. Explore more on our blog.

Special Hedge Accounting: Why Functional Currency Matters
Gain insights into why functional currency is crucial in special hedge accounting and learn new strategies on FX exposure management.

Types of Simple Forecasting Methods for Corporate Treasury
Despite advances in machine learning, traditional statistical forecasting methods remain more effective for cash management. Simple still beats complex in forecasting accuracy.

The Risk Management Wake-Up Call for 2025: Tariffs, Rates, and Reality
Expert treasury insights on risk reality. Practical guidance and best practices for corporate finance teams from Ripple Treasury.

The Real Risk of Black Box AI: Why Treasury Needs Transparency, Not Hype
Navigate auditable treasury ai with expert guidance from Ripple Treasury. Practical strategies for treasury teams managing complex financial challenges.

Rising Rates Put Pressure on Accuracy of Cash Forecasts
Accurately forecasting cash positions becomes increasingly important as interest rates rise, due to the opportunity cost of holding uninvested cash.
Explore Success Stories

Bank of Us
Bank of Us transformed treasury operations with Ripple Treasury software, reducing ALM reporting time from one week to one day.
ON Semiconductor
See how ON Semiconductor transformed treasury operations with Ripple Treasury. Explore the challenge, solution, and measurable results in this case study.
Explore Articles

How Are Stablecoins Different from Traditional Currency?
How do stablecoins differ from traditional currency? A breakdown of structure, stability and speed across both models.

What Is A Stablecoin? A Beginner’s Guide to Stable Cryptocurrency
What is a stablecoin? Learn how they maintain price stability, the different types and how they compare to traditional cryptocurrencies.
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Why CFOs Are Adopting Intercompany Netting in 2026
Learn how intercompany netting reduces foreign exchange exposure, cuts bank fees and optimizes global liquidity for modern corporate treasury teams.
Explore Videos

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.

Forecasting Failures Exposed: The Strategic CFO's Way Forward
Expert treasury insights on forecasting failures exposed: the strategic cfo's . Practical guidance for corporate finance teams from Ripple Treasury.
Explore Product Information

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.

Moody's
Ripple Treasury is collaborating with Moody’s to enable customers to access Moody’s market-leading Asset and Liability Management (ALM) SaaS solution.
Explore Reports

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.

Cash Forecasting Accuracy Measurement
See how Cash Forecasting Accuracy Measurement transformed treasury operations with Ripple Treasury.
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