Case Study
Success Story: PIP
GTreasury Cash Forecasting automated Protective Industrial Products’ formerly manual daily and weekly cash reporting and forecasting processes. This automation provided Percy Cubillo and his team with reliable, group-wide cash flow information, streamlining 13-week cash flow forecasting across 25 operating units. GTreasury enhanced accuracy, reduced time spent on cash management tasks, and improved overall visibility into PIP’s liquidity, supporting more effective financial planning across their global operations.