Register/login for more content... 
subscription choicessubscription choices    My profilemy profile           
HOME  >  OUR SERVICES  >  BUYER'S GUIDE  >  TREASURY SERVICES  >  CASH MANAGEMENT  
foreign exchange   
CASH MANAGEMENT

Process objective
Ensure cash balances are applied promptly to reinvestment, idle balances attract appropriate value and overdrafts are avoided where practicable

Process requirements
Service providers must report cash movements and balances with clarity and timeliness, preferably in real time.  Cash forecasting tools should be provided (see below) and credit facili...
To view this text in full:
      CLICK HERE to register/login for our full Buyer's Guide

Cash forecasting tools
To view this text:
      CLICK HERE to register/login for our full Buyer's Guide
Cash sweep service
To view this text:
      CLICK HERE to register/login for our full Buyer's Guide
Off-balance-sheet products
To view this text:
      CLICK HERE to register/login for our full Buyer's Guide


Service offerings of leading providers:

  Service Matrix Product Profile: CASH MANAGEMENT  
  comparative analysis of providers' offerings   descriptions of providers' products  
 
 Buyer's Guide: interactive service
Join in!  Help build this resource to benefit everyone... suggest an addition • raise a question
   © 2008 globalcustody.net
 free newsletter   privacy   tell a friend   terms   join listings   advertising   contact globalcustody.net