As CFO, it’s your job to make sure your company remains financially solvent. You need to track cash flow, take charge of financial planning, analyze your company’s financial strengths and weaknesses, and propose strategic action when corrections need to be made.
You’re the CEO’s right hand when it comes to complex operations like M&As and IPOs, and you’re the guardian of the company’s cash, managing risk and ensuring the right resources are always exactly where they need to be, at the lowest possible cost.
It’s a high-pressure job and when you need reporting, you need it fast—and you need to be sure that it’s accurate and 100% complete.
Tired of discrepancies between company cash reports and your group’s overall cash flow?
Frustrated by bad data, late corrections, and numbers delivered too late to be useful?
Ever been caught off guard because you made the wrong decision based on inaccurate or incomplete information?
Not confident in your spreadsheets and other manual data sources?
Contact us for a demo today and experience the Datalog difference.
Find out more about who we are, where we’ve come from, and where we’re headed.
Explore a range of resources and documentation we’ve assembled to help you modernize your treasury.
Find out how our solutions can help you manage and optimize your company’s liquidity, cash flow, banking communications, and other financial activities effectively and efficiently.
Your comprehensive all-in-one treasury management solution.
Automate, track & control all of your inbound & outbound payments from one centralized system.
Automate a continuous flow of cash to the right places across your global business accounts.
Configure and manage intra-group transfers, loans, and financial compensation from a central SaaS platform.