Driving free cash flow in a predictable fashion is fundamental to building corporate value, but corporations are challenged by manual processes, disparate systems and lack of workflow automation. FIS’ corporate solutions drive stringent treatment of trade receivables, sophisticated treasury, risk and cash management, and coordinated execution of payment processing with managed bank and SWIFT connectivity. They can be hosted on premises, in a SaaS or private cloud environment.

Featured Articles

From Legacy to Revolutionary - Managing Credit and Collections in a Modern World

Traditional or legacy processes are giving way to revolutionary ideas, completely changing the landscape and approach to increasing cash flow while …

Treasury Transformation: Achieving Operational and Financial Efficiency

Albert Hollema, Head of Treasury and Investor Relations, Endemol Shine Group, describes the company’s transformation journey to self-fund new, …

Transforming Treasury Technology at Bombardier

A flagship project to facilitate corporate and treasury strategy at Bombardier Transportation Group was the implementation of FIS’ Quantum 6 treasury …

Modernising Payments Across the Organisation

Luc Belpaire of FIS’ TRAX solution explains how corporate treasurers can harness the latest technology to overcome payments challenges and modernise …