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GSmart AI
GSmart AI: Intelligent automation for treasury teams. Enhance forecasting, liquidity management, and risk analysis with secure, transparent AI.

Payments
Streamline payment processes with Ripple Treasury—enhance efficiency, security, and compliance while automating workflows and ensuring real-time visibility.

Cash Forecasting
Optimize cash forecasting with Ripple Treasury—gain real-time insights, automate cash flow analysis, and enhance liquidity management with AI-powered precision.

GSmart Ledger
GSmart Ledger delivers AI-powered AP/AR analytics for accurate cash flow forecasting, optimizing DSO/DPO metrics with real-time visibility and automated insights for confident financial planning.

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

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.

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

Advanced FX Workflows
GTreasury's Advanced FX Workflows automates foreign exchange management from exposure capture to settlement, reducing manual processes and risk while enhancing analytics and decision-making.

Reconciliation
Ripple Treasury's Bank-to-Book Reconciliation solutions simplifies and automates the reconciliation process with configurable, user-defined matching rules across bank and internal records.

Risk Management
Manage financial risk with Ripple Treasury—gain real-time insights, automate compliance, and optimize strategies to mitigate FX, interest rate, and credit risks.

How to Choose the Right Metrics for Your Cash Flow Dashboard
Learn which financial metrics to include when building your cash flow forecasting dashboard, with insights from real-world examples and best practices.

How Does a Cash Flow Liquidity Forecast Help in a Time of Uncertainty
Discover how cash flow liquidity forecasting provides precise visibility into future cash positions, crucial for businesses with tight working capital cycles.
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Cash Reporting Platforms: An Essential Piece of Treasury Software
Discover how treasury software streamlines financial operations, enhances cash visibility, and improves decision-making for finance teams of all sizes.

Cash Forecasting Granularity: How AI-Powered Solutions Optimize CFO Decision-Making
Expert treasury insights on intelligent cash forecasting. Practical guidance for corporate finance teams from Ripple Treasury.
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Are Your Treasury & Accounting Teams Disconnected?
What are potential challenges of implementing hedge accounting programs? Learn how to ensure treasury and accounting teams stay connected.

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.

Scenario Analysis
Ripple Treasury Scenario Analysis elevates cash flow forecasts into strategic decision tools.

Why Centralized Payments Help CFOs Gain Efficiency and Control
Navigate centralized payment system with expert guidance from Ripple Treasury.

How to Build the Business Case for a Cash Reporting Platform
Explore how a dedicated cash reporting platform delivers real-time financial visibility, streamlines reporting processes, and drives better business decisions.

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: Skills Needed to be a Superforecaster
Discover the four essential skills every finance professional needs to become a superforecaster and how specialized software enhances forecasting capabilities.
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Cash Forecasting in a Volatile World: Why Your Spreadsheet Model Can't Keep Up
Learn how you can leverage automated cash flow forecasting to keep up with today's volatile market.

Cash Forecasting Buy In and Engagement are Crucial for Success
Expert treasury insights on cash forecasting in treasury management. Practical guidance and best practices for corporate finance teams.

Cash Flow Hedging Made Easy for the Urgent Hedger
Expert treasury insights on cash flow hedging. Practical guidance and best practices for corporate finance teams from Ripple Treasury.

Bridging the Business Analytics Skills Gap
Discover how finance teams can develop essential data analysis skills to succeed in strategic roles as automation transforms traditional accounting functions.
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.

Waterton
Waterton's treasury team reduced data collection time by 90% using Ripple Treasury's modular solution to manage 200+ accounts and improve cash forecasting.
Explore Articles
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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.

What Is Intercompany Netting?
What is intercompany netting? This guide explains how it works, why it matters for global treasury operations and how Ripple Treasury helps you put it into practice.

Treasury Automation Software: How to Eliminate Manual Processes
Learn how treasury automation software eliminates manual workflows, reduces operational risk, and gives finance teams real-time cash visibility.
Explore Videos

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.

Cash Forecasting Scenarios in Minutes, Not Days
Discover how treasury teams are replacing hours of spreadsheet work with instant what-if modeling, testing growth opportunities, downside risks, and FX rate shocks in minutes without touching the official forecast.
Explore Product Information

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.

JP Morgan
Ripple Treasury has partnered with J.P. Morgan to simplify retrieving intraday and historical balance data for your cash reporting accounts.
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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