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Resource Library

How CFOs Are Achieving 98% Auto-Match Rates in Reconciliation
Discover how intelligent automation achieves 98% auto-match rates across multiple banks, ERPs, and payment systems by eliminating the manual work that creates risk in this webinar playback.

Digital Adoption at Your Pace: A Seamless Path to Blockchain with Ripple Treasury
Learn how Ripple Treasury enables seamless digital asset adoption for corporates. No crypto expertise needed for secure, fast, enterprise-grade access.

Unified Asset Visibility: Managing Digital Assets and Cash in One Dashboard
Eliminate spreadsheets and data silos. Discover how Ripple Treasury provides a unified view of traditional cash and digital assets for total liquidity control.

Digital Asset Liquidity Management: Generating Yield on Idle Cash 24/7/365
Optimize idle corporate cash with Ripple Treasury’s digital asset liquidity management. Discover how to earn yield 24/7 without sacrificing liquidity or control.

Securing Value in Cross-Border Digital Payments for Treasury
Streamline cross-border digital payments treasury operations with Ripple Treasury. Eliminate FX volatility and settlement delays with instant digital asset transfers.

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.

Digital Asset Account
Create and manage a Ripple-native asset account directly within the platform or add an existing provider, with no external setup, no third-party provider and no separate system to maintain.

What Is a Cash Flow Forecast (Examples + Template)
Learn what cash flow forecast means and why it matters for corporate treasury teams. Expert definitions, examples, and practical guidance from Ripple...

How to Build a Cash Forecasting Model for Your Business
Learn how to cash projection model with step-by-step guidance for treasury and finance teams from Ripple Treasury.

What is Cash Flow Forecasting? How to Build a Cash Flow Forecast
Cash flow forecasting estimates the cash inflows and outflows of a business over time. Learn how to build an effective cash flow forecast.

Liquidity Management Planning Key Considerations
Understand the core considerations for liquidity management planning and how cashflow forecasts are used to gain visibility of upcoming cash requirements.

Working Capital Metrics
Understand the key working capital metrics and drivers from a corporate treasury perspective.

Cash Flow Forecasting Best Practices
Understand the three key elements to cashflow forecasting best practice and how they combine to drive successful cash forecasting processes.

How to Choose the Ideal Cash Management Software Solution
Learn how to choose the ideal cash management solution with step-by-step guidance for treasury and finance teams from Ripple Treasury.

Cash Flow Metrics in Focus
Expert treasury insights on cash management kpi. Practical guidance and best practices for corporate finance teams from Ripple Treasury.

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.

How to Increase Accounts Receivable Forecasting Accuracy
Learn how to forecasting accounts receivable with step-by-step guidance for treasury and finance teams from Ripple Treasury.

Cash Management in a Crisis
A crisis in the business will ultimately have a financial impact and attention will quickly turn to the Treasury department. Learn how treasury teams can guide strategy in times of crisis.

Cash Forecasting Automation: A Practical Guide
This Ripple Treasury post looks explores how a cash forecasting process can be automated, what cash forecasting automation is, and what benefits it can bring.

Setting Up A Cash Flow Forecasting Process
Expert treasury insights on setting up a cash flow forecasting process. Practical guidance for corporate finance teams from Ripple Treasury.

How to Use A 13-Week Cash Flow Model
As part of a series of articles on cashflow forecast time horizons, understand the uses, advantages and disadvantages of a 13 week cash flow forecast.

Cash Flow Forecasting Template TMS Implementation Case Study
See how Cash Flow Forecasting Template transformed treasury operations with Ripple Treasury. Explore the challenge, solution, and measurable results in...

The Power of Clean Data: A Baseline for Good Forecasting
This CashAnalytics post offers a guide to correct anomalies in large data sets and insights on using data efficiently.
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Covenant Forecasting
Explore the uses, benefits, and limitations of daily cash flow forecasts as part of our comprehensive series on forecast time horizons and methodologies.

How to Overcome the Key Challenges of Cash Forecasting
This CashAnalytics post explores the key challenges of cash and liquidity forecasting and offers practical advice for how to overcome them.
Explore Success Stories

Bruker
Discover how Bruker transformed its treasury operations with Ripple Treasury, replacing manual processes and achieving streamlined, scalable financial management.

Diocesan Development Fund
Diocesan Development Fund cut month-end reporting time 60% with Ripple Treasury, saving 20-30 hours monthly through automated treasury management. Read this success story to learn more.

Grupo Walworth
See how Grupo Walworth transformed treasury operations with Ripple Treasury. Explore the challenge, solution, and measurable results in this case study.
Explore Articles

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.

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.

4 Reasons CFOs Need Business Unit Cash Flow Visibility
Learn about the 4 reasons CFOs need business unit cash flow visibility and how Ripple Treasury can support your goals.
Explore Videos

5 Ways to Use CashAnalytics
Expert treasury insights on performance analytics treasury. Practical guidance and best practices for corporate finance teams from Ripple Treasury.

Bringing Clarity to Treasury AI: Introducing GSmart
See how GSmart helps treasury teams gain transparent insights without disrupting existing workflows in this webinar playback.

Global Payments Simplified: Do More with Less Without Sacrificing Control
Expert treasury insights on global payments and cash management. Practical guidance and best practices for corporate finance teams from Ripple Treasury.
Explore Product Information

Banking
Ripple Treasury's comprehensive banking solution automates documentation, streamlines audit preparation, and enhances bank fee analysis — all from a single, secure platform.

Bank Partnerships
Ripple Treasury offers banks a smarter path forward through our comprehensive Bank Partnership Program. We provide enterprise-grade treasury technology powered by GSmart AI that's already serving 1,000+ corporate clients worldwide.

Accounting
Transform treasury accounting with centralized intelligent workflows. Easily manage multiple ledgers in one system with Ripple Treasury.
Explore Reports

13-Week Cash Flow Forecasting Setup Guide
Download Ripple Treasury's free 13-Week Cash Flow Forecast Setup Guide and learn how to build a world-class forecasting process.

An Introduction to High Value Cash Forecasting
Expert treasury insights on value forecasting. Practical guidance and best practices for corporate finance teams from Ripple Treasury.

Building the Business Case for Better Cash Visibility
Download Ripple Treasury's 6-step guide to building a winning business case for better cash visibility.
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