Case Study: SSP Group automates cash flow forecasting and reporting with GTreasury

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Preview of the SSP Group Case Study

SSP Group centralizes cash forecasting across 35 countries with GTreasury

SSP Group, a publicly-listed company headquartered in London, faced significant challenges with its manual and decentralized cash flow forecasting. The process was arduous, error-prone, and made it nearly impossible to get a consolidated view of cash balances, putting great pressure on their spreadsheet-driven operations. To address this, they enlisted GTreasury (now Ripple Treasury) to automate and centralize their forecasting and reporting.

GTreasury implemented a hybrid, automated forecasting solution for SSP Group that provides a centralized, weekly-updated view of cash flow KPIs on a 14-week rolling horizon. The results were transformational, giving senior management clear visibility into cash positions by entity and cash flow type. The user-friendly system led to a marked increase in engagement across all business units, as it simplified the process from an onerous task into a quick copy-and-paste operation for operational teams.


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