Cash Forecasts, Budgets, and Corporate Planning: How They Work Together
In this episode, Paul Galloway of Strategic Treasurer explains the distinctions and connections between cash forecasting, budgeting, and corporate planning. He outlines how each function supports liquidity management, capital strategy, and long-term growth and discusses why treasurers must understand the interdependencies to provide better visibility and strategic support across the organization. Company Website: Strategic Treasurer: https://strategictreasurer.com
Understanding FX Exposure: Why It Matters and Where It Comes From (FinSavvy)
In this episode, Craig Jeffery speaks with David Pierce of FinSavvy about how treasury teams should understand and manage foreign exchange exposure. They explain different types of exposures, including balance sheet, forecast, and economic, and why each requires a different approach to hedging. The discussion emphasizes that hedging is risk management, not speculation, and explores how factors like interest rate differentials, margins, and time horizons impact decisions. They also highlight hidden risks such as intercompany exposures and the importance of aligning treasury and accounting to avoid unintended impacts on financial reporting. Links: FinnSavvy: https://www.finnsavvy.com The Invisible Hedge: https://amzn.to/4srHEJo Managing Foreign Exchange Risk: https://amzn.to/4dxfaZU
Supply Chain Finance and Cash Conversion Cycle Explained
In this episode, Craig Jeffery speaks with Paul Galloway of Strategic Treasurer about supply chain finance and the cash conversion cycle as part of the 2026 Analyst Report series. They define key concepts such as working capital, days sales outstanding, and inventory cycles, then explore solutions like procure-to-pay, order-to-collect, reverse factoring, and dynamic discounting. The discussion highlights how automation, APIs, and emerging technologies like AI and blockchain are improving efficiency, visibility, and working capital optimization, while also addressing risks such as compliance challenges and supply chain disruption. 2026 Treasury Technology Analyst Report: https://strategictreasurer.com/analyst-report-2026
From Invisible to Visible: How AI Can Help Reveal FX Exposure (FinSavvy)
In this episode, Craig Jeffery speaks with David Pierce of FinSavvy about how AI can help treasury teams uncover foreign exchange exposure that is often hidden across ERPs, CRMs, purchasing systems, and other disconnected data sources. They discuss bad data, forecast accuracy, intercompany netting, real-time visibility, and how AI can improve hedging decisions by making exposures easier to identify, organize, and monitor. Links: FinSavvy: https://www.finnsavvy.com The Invisible Hedge: https://amzn.to/4srHEJo Managing Foreign Exchange Risk: https://amzn.to/4dxfaZU
The Hidden Risks in Your Bank Fee Analysis and How to Fix Them
In this episode, Paul Galloway of Strategic Treasurer explains why weak bank fee analysis can lead to unnecessary costs and hidden risks. He discusses common blindspots such as manual spreadsheet processes, reliance on earnings credit rates, and infrequent bank RFPs. The episode also outlines practical steps treasury teams can take to strengthen oversight, benchmark fees, and improve visibility into banking costs. Company Website: Strategic Treasurer: https://strategictreasurer.com