Financial
& Accounting
Services

CASH MANAGEMENT


Command Strategy can help you manage your liquidity and cash flow
by providing you with operational solutions and software adapted to your structure. Our expertise and know-how will meet all your needs and help you achieve your objectives.

Issues

In recent years, cash flow has become a key concern for companies. The advantage of Cash Management is that it enables you to control your financial flows, so you can consolidate your profitability, maintain your financial health, prevent risks and anticipate unforeseen events.

Command Strategy’s consultants can help you implement an effective cash management strategy that takes into account complex and growing financial flows, to guarantee optimum visibility and centralization of flows, and thus ensure efficient liquidity management.

Our support

  • Daily cash monitoring
  • Analysis of Cash In and Cash Out flows
  • Analysis of pending operations and implementation of an action plan
  • Reconciliation of accounting entries
  • Analysis of D-1 cash positions and forecast management
  • Create reports to monitor liquidity
  • Production of scales of interest
  • Cash pooling
  • Creating bank accounts
  • Automate control and reconciliation tasks
  • Bank reconciliation
  • Participation and representation of departments on committees
  • Help in selecting treasury tools(Kyriba, Sage, in-house solutions)
  • Software parameterization and interfacing with your existing information systems
  • Participation in business recipes and drafting of new procedures

Follow us

124 Bis Avenue de Villiers – 75017 Paris
Phone: +33 (0)1 42 94 09 48