Citi’s global network and cash pooling solutions are designed to work seamlessly with TIS’ analytics and forecasting tools to help improve your cash and working capital management. Working together, Citi and TIS aim to advance the smart treasury journey from historic reporting to predicting liquidity and working capital through a fully automated, integrated, and intuitive workflow.
Citi & TIS At-a-Glance
Value Delivered
Citi and TIS can help companies automate the aggregation and analysis of their global banking, treasury, sales, AP/ AR, and P&L data to maximize the accuracy and completeness of their cash forecasts. At the same time, treasury can use advanced, smart-logic enabled tools to evaluate their data and identify gaps in reporting to improve accuracy over time. Analyzing the cashflow data captured by TIS can help uncover unique supplier or vendor payment behaviors, invoicing cycles, and liquidity trends across the business. It can also help companies determine how these behaviors and cycles are evolving over time.
Cash Forecasting
Effective Automation of forecasting & cashflow analysis to reduce manual & error-prone workflows.
Working Capital
Tailored Pricing ensures that teams only pay for the exact scope of what they purchase.
Technology Setup
Assisted Management of major software & IT functions to simplify system configuration & support.
NEXT STEPS FOR LEVERAGING THE TIS & CITI SOLUTION
To learn more about the Citi and TIS partnership and how to benefit from it, contact your Citi representative.