Case Study: Sulzer improves cash forecasting and liquidity reporting with GTreasury

A GTreasury Case Study

Preview of the Sulzer Case Study

Sulzer centralizes cash forecasting across 100+ legal entities with GTreasury

Sulzer, a global leader in fluid engineering with over 180 locations, faced challenges with global cash forecasting and liquidity reporting. The company had outgrown other systems and needed to streamline data collection from over 100 legal entities into one centrally controlled model. To solve this, Sulzer adopted Ripple Treasury (GTreasury) to gain a centralized view of key cash figures and produce custom consolidation reports.

The solution implemented by Ripple Treasury provided Sulzer with an intuitive and highly customizable cash forecasting and liquidity planning software. This enabled the company to easily adjust forecast periods and cycles, translate long-term budgets into short-term forecasts, and gain real-time insights into its cash position. The measurable results included centralized data aggregation and enhanced visibility across the entire organization, significantly improving its treasury operations.


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