Cash management services
Cash management services
Managing your cash inflows and outflows and meeting payment obligations are a vital part of any investment business, and essential to maintaining business stability and plan for the future.
But keeping track of multiple international bank accounts for multiple investment vehicles and maintaining your cash accounts, optimising cash flow and managing incoming and outgoing invoices, taxes and payroll can be problematic – particularly given exchange rate fluctuations and differences in banking across borders.
Auxadi can help.
International cash management
With over 300 team members across our 22 offices, our accounting experts have procedures and software created from over 40 years’ experience that combine to collate, convert, manage, and produce useful and understandable data on your international accounts. Data that’s easily consolidated, and just as easily split by account, investment, country or other customisable preference.
Let us make your life easier by taking care of your international cash management. Get in touch with our team to find out how.
Monitor and manage your international subsidiaries with our MultiCountry online platform
Access our online platform that provides you with a global and harmonized view of the accounting of your international subsidiaries, with drill down functionality to check support documentation, such as: invoices, outstanding creditors, approve payment orders, manage the payroll processing cycle and so much more. Request a demo to see how our technology can help you.