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

Adopting a Strategy - Driven Approach to Credit & Collections

Konica Minolta transformed its largely manual credit and collections processes by implementing a new technology solution. We find out the outcomes of …

A New Era for Corporate Cash Investment?

The annual FIS Corporate Cash Investment report explores corporate attitudes to cash investment, investment policies and transaction execution in an …

Against the Clock: Creating the Treasury Organisations of the Future

Since 2013 Johnson Controls International have gone through a radical transformation. Here they explain how they successfully transformed their …

How Is Your Cash Being Impacted by Regulatory Change?

Now in its fifth year, FIS’s Corporate Cash Investment report is an in-depth study among corporate treasury professionals that explores corporate …