Improve Cash Flow Management with Generative AI

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Published on ● Video Link: https://www.youtube.com/watch?v=i7k5gEcCQn0



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Cash flow forecasting is a critical function for treasury departments. It allows them to manage liquidity, optimize working capital, and mitigate financial risks. What we’re looking at is an opportunity to find quicker paths to be more efficient in all areas of Treasury. Building accuracy and efficiency into cash forecasts is a benefit to Treasury effectiveness.

View a sample reference architecture and discover more generative AI use cases → https://goo.gle/genAIexamples

Learn more about generative AI on Google Cloud → https://goo.gle/genai







Tags:
AI
GenerativeAI
GoogleAI