Case Study
Success Story: SSP Group
SSP Group automated and centralized their cash flow forecasting and reporting by implementing GTreasury Cash Forecasting. The cloud-based platform replaced their manual, decentralized process, reducing errors and improving accuracy. GTreasury provided a consolidated, real-time view of cash balances across 35 countries, enabling better analysis and decision-making. This transformation streamlined SSP’s treasury operations, enhanced cash visibility, and improved forecast reliability on a global scale.