Analyste is now Nomentia. Follow our journey on our new social media channels. Go follow us in Twitter at @Nomentia_cash 👉 Would you like to know more about Nomentia? Find out more here: https://t.co/2R0k3hzWqq
Read how COVID-19 and cloud technology are forcing business owners and leaders to reflect on the success of remote working and reconsider the financial and employee work-life balance cost of reverting to previous traditional ways of operating: https://t.co/ZHuQuMv0jL
I vår nya blogg går vår CFO Timo Hämäläinen igenom varför kassaflödesprognoser är så viktiga och varnar för de största misstagen när ni ska börja använda ett nytt verktyg. Läs mer: https://t.co/Dibx2ig30a
#cashforecast#kassaflödesprognos#cashflow#cashflowforecast
OpusCapita’s cash management business & @Analyste will form a new company to create a Nordic powerhouse for #cashmanagement. https://t.co/hjLsdetw8B
Improving cash forecasting accuracy is a common objective for treasurers but securing buy-in from subsidiaries remains a challenge. Given it's critical business value, why does it continue to be such an ongoing headache for many organisations? Read more: https://t.co/J7ZvYbap9W
There are better ways to automate your cash forecasting process than Midsummer spells! So whilst you take the time to relax and enjoy the Summer vibe, let Anlayste CashForecast do the rest. Try the user interface here: https://t.co/EHPmu6EasN
Analyste recently welcomed a group of senior Treasurers to join a peer-to-peer discussion addressing the top cash forecasting challenges facing treasurers during the current COVID-19 crisis. Discover the key findings and outcomes from our discussion here: https://t.co/z8mGnputpB
Analyste recently checked-in with Carri Nicholson to talk about how SMEs are coping with their cashflow forecasting during the current crisis, who’s leading the charge when it comes to cash visibility and the pros and cons of getting it right. Read more: https://t.co/YLmZXe0mPX
In this week's blog we discuss about the usefulness of weekly cash flow forecasts, the key principles around their construction and the benefits of scenario modelling:
https://t.co/arHq3O6Qzs
#cashforecast#cashflowforecast#cashmanagement
Listen to our podcast where Anne-Marie Rice and Carri Nicholson discuss why intelligent cash forecasting is crucial for SEMs traversing the current 'black swan' crisis and how preparing from new opportunities is just as important as we plan for recovery: https://t.co/49QpSXEhV4
We warmly welcome Alex Weinrich and Fredrik Rydqvist who join our team to meet the continued customer demand across Europe!
https://t.co/YRVBhxZhRl
#analyste#welcome#cashmanagement
Helen implemented Analyste CashForecast last year when they noted a need for better accuracy in the short-term cash flow management and forecasts. Read more about what Antti Hänninen, the Accounting Specialist at Helen says about Analyste CashForecast: https://t.co/LJk9t9W4Qy
Intercompany Netting provides a plethora of benefits to companies so it’s no surprise it is such a popular concept. Reduced bank transaction & FX rate costs and improved intra-group payment efficiency are just some of the benefits. Read more in our blog: https://t.co/wjUEA6p7GB
Watch our short webinar about Intercompany netting with guest speaker, David Kelin (DNA Treasury), offering some interesting advice to Treasurers and Financial Directors considering the first-step to centralising financial relations amongst subsidiaries: https://t.co/8BJB4VdyZS
Initiating a crisis management strategy is now top priority for all organisations. Finance and treasury have been propelled forward as pivotal to navigating the current crisis and driving successful recovery planning. Read some of our advices: https://t.co/RAsWuiX9Xd