Actualize Training
  • Home
  • News
  • Kyriba ▼
    • On-Boarding
    • Bank Account Management
    • Bank Connectivity
    • Bank Fee Analysis
    • Bank Statements
    • Business Intelligence
    • Cash & Forecasting
    • Cash Accounting
    • Financial Accounting
    • Financial Transactions >
      • Foreign Exchange
      • Debt & Investments
      • IR Swaps
    • Fraud & Compliance
    • GL Reconciliation
    • Hedge Accounting
    • In-House Banking
    • Netting
    • Payments
    • SSO/SMS
    • System Administration
    • Valuations
  • Mid Market ▼
    • Implementation Process
    • Training
    • Daily Process
  • Best Practices ▼
    • Bank Account Management
    • Bank Fee Analysis
    • Bank Reporting
    • Cash Accounting
    • Cash Management & Forecasting
    • Debt & Investments
    • Financial Accounting
    • FX and Valuations
    • GL Reconciliation
    • Hedge Accounting
    • In-House Banking
    • Payments
    • Referential Data
    • System Administration
    • Higher Education
  • Actualize Resources ▼
    • New Kyriba Consultants
    • Technical Resources ▼ >
      • More Education ▼ >
        • FAQ
        • Release Notes
        • Tips & Tricks
      • Bank Account Management
      • Bank Fee Analysis
      • Bank Connectivity
      • Bank Statements
      • Business Intelligence
      • Cash & Forecasting
      • Cash Accounting
      • Core Data
      • Connectivity: NetSuite, FXAll, Finastra
      • Data Exchange
      • Financial Accounting
      • Financial Transactions
      • Fraud & Compliance
      • GL Reconciliation
      • In-house Banking
      • Market Data & MTM
      • Netting
      • Payments
      • System Admin & SSO
      • Valuations & Risk, Hedge Accounting
    • News & General ▼ >
      • Consultant News
      • Team Expertise
    • Project Resources ▼ >
      • Blueprint & POC
      • Project Management
      • Projectplace
      • Training Portal Form
      • Escalation Procedures
      • Kyriba Processes
      • Knowledge Management
    • RPA
    • Sales and Account Management
  • Contact

the time is upon us to rationalize treasury

10/15/2020

0 Comments

 
Picture
Actualize Consulting's Chad Wekelo and Priscila Nagalli, along with Christian Kochan of PVH Corp, discuss the benefits of rationalization in this TMANY Webinar. Learn how to re-evaluate all aspects of your Treasury operations, the underlying technology supporting it, processes, roles and responsibilities, and third-party services. 

Watch the webinar here.
0 Comments

Your comment will be posted after it is approved.


Leave a Reply.

    News Overview

    Latest release news and tips for your Kyriba implementation.

    Categories

    All
    Cash & Forecasting
    Debt & Investments
    Financial Transactions
    Foreign Exchange
    Industry
    On-Boarding
    Payments
    Release Notes
    Training Updates
    Wellness

    Actualize Services

    Banking RFP Management
    Payments & Bank Connectivity

    Archives

    December 2020
    November 2020
    October 2020
    September 2020
    August 2020
    July 2020
    June 2020
    May 2020
    April 2020
    March 2020
    February 2020
    January 2020
    November 2019
    October 2019
    September 2019
    August 2019
    July 2019
    March 2019
    November 2018
    July 2018
    May 2018
    March 2018
    June 2017

    RSS Feed


Visit Actualize Consulting's website
  • Home
  • News
  • Kyriba ▼
    • On-Boarding
    • Bank Account Management
    • Bank Connectivity
    • Bank Fee Analysis
    • Bank Statements
    • Business Intelligence
    • Cash & Forecasting
    • Cash Accounting
    • Financial Accounting
    • Financial Transactions >
      • Foreign Exchange
      • Debt & Investments
      • IR Swaps
    • Fraud & Compliance
    • GL Reconciliation
    • Hedge Accounting
    • In-House Banking
    • Netting
    • Payments
    • SSO/SMS
    • System Administration
    • Valuations
  • Mid Market ▼
    • Implementation Process
    • Training
    • Daily Process
  • Best Practices ▼
    • Bank Account Management
    • Bank Fee Analysis
    • Bank Reporting
    • Cash Accounting
    • Cash Management & Forecasting
    • Debt & Investments
    • Financial Accounting
    • FX and Valuations
    • GL Reconciliation
    • Hedge Accounting
    • In-House Banking
    • Payments
    • Referential Data
    • System Administration
    • Higher Education
  • Actualize Resources ▼
    • New Kyriba Consultants
    • Technical Resources ▼ >
      • More Education ▼ >
        • FAQ
        • Release Notes
        • Tips & Tricks
      • Bank Account Management
      • Bank Fee Analysis
      • Bank Connectivity
      • Bank Statements
      • Business Intelligence
      • Cash & Forecasting
      • Cash Accounting
      • Core Data
      • Connectivity: NetSuite, FXAll, Finastra
      • Data Exchange
      • Financial Accounting
      • Financial Transactions
      • Fraud & Compliance
      • GL Reconciliation
      • In-house Banking
      • Market Data & MTM
      • Netting
      • Payments
      • System Admin & SSO
      • Valuations & Risk, Hedge Accounting
    • News & General ▼ >
      • Consultant News
      • Team Expertise
    • Project Resources ▼ >
      • Blueprint & POC
      • Project Management
      • Projectplace
      • Training Portal Form
      • Escalation Procedures
      • Kyriba Processes
      • Knowledge Management
    • RPA
    • Sales and Account Management
  • Contact