Knowing how much cash you have on hand is important for any company. As your business grows, this once straightforward task can become complex and time consuming. Gaining transparency to available cash requires downloading data from multiple banks, consolidating it, and then reconciling it to ensure accuracy. These are vital daily processes for proper cash controls. However, finance teams often don’t have enough time to complete them. TreasuraSpark offers an inexpensive solution to automate your daily cash processes. Best of all, you can get set up in less than a day.
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