Treasury and Risk Management (TRM) encompasses the strategies, processes, and technologies used by organizations to manage their financial risks and optimize their treasury operations. This includes managing cash flow, liquidity, investments, debt, and foreign exchange exposures. TRM systems are commonly used to automate tasks such as cash forecasting, payment processing, risk assessment, and compliance reporting, helping organizations to improve efficiency, reduce costs, and mitigate financial risks.
Whether you're looking to get your foot in the door, find the right person to talk to, or close the deal — accurate, detailed, trustworthy, and timely information about the organization you're selling to is invaluable.
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