Introduction

Technology is enabling treasury leaders to move away from daily transactions and serve as strategic counsel for their CFOs. While treasury teams have relied on technology for many years, the focus has been on automating transactions. This has meant that treasury teams continue to carry the operational burden of routine decision making, forecasting, and analysis – moving them away from more value-added tasks that directly impact cash flows, liquidity, and borrowing costs.

Recent advances in technologies including Artificial Intelligence, Machine Learning, Robotic Process Automation, and Predictive Analytics have been possible by their proliferation through the software-as-a-service model. This has resulted in increased accessibility to highly advanced technology for enterprises of all sizes – at a fraction of the cost and negligible risk to existing systems. In summary, these technologies are helping teams to completely automate and eliminate delays from time-sensitive tasks which are critical for day-to-day treasury operations. At the same time, treasury leaders are leveraging these technologies to enable their teams with data-based support for more accurate decision making.

A recent survey by a Big 4 accounting firm concluded that inaccurate cash forecasting is the result of treasury teams continuing to rely on spreadsheets, standalone banking systems, and obsolete technology.

95% of the surveyed treasury leaders from Fortune 1000 companies have adopted the latest treasury management technology and best practices to achieve the following results:

  • High-accuracy micro-cash forecasting with Predictive Analytics
  • Real-time cash reconciliation and posting using Artificial Intelligence
  • Enabling digital collaboration with trading partners using the power of networks
  • Bank fee reduction without impacting your banking relationship
  • Driving electronic payment adoption with smart campaign management tools

Table of Contents

    • Introduction

Loved by brands, trusted by analysts

HighRadius Named a Challenger In 2025 Gartner® Magic Quadrant™ for Financial Close and Consolidation Solutions

HighRadius stands out as a challenger by delivering practical, results-driven AI for Record-to-Report (R2R) processes. With 200+ LiveCube agents automating over 60% of close tasks and real-time anomaly detection powered by 15+ ML models, it delivers continuous close and guaranteed outcomes—cutting through the AI hype. On track for 90% automation by 2027, HighRadius is driving toward full finance autonomy.

Gartner Banner

HighRadius Named ‘Rising Star’ in 2024 ISG Provider Lens™ Finance and Accounting Platforms Report

HighRadius leverages advanced AI to detect financial anomalies with over 95% accuracy across $10.3T in annual transactions. With 7 AI patents, 20+ use cases, FreedaGPT, and LiveCube, it simplifies complex analysis through intuitive prompts. Backed by 2,700+ successful finance transformations and a robust partner ecosystem, HighRadius delivers rapid ROI and seamless ERP and R2R integration—powering the future of intelligent finance.

ISG Banner

HighRadius Named As A Major Player For Treasury & Risk Management Software By IDC

HighRadius is redefining treasury with AI-driven tools like LiveCube for predictive forecasting and no-code scenario building. Its Cash Management module automates bank integration, global visibility, cash positioning, target balances, and reconciliation—streamlining end-to-end treasury operations.

IDC Banner

1100+

Customers globally

3400+

Implementations

$18.9 T.

Transactions annually

37

Patents/ Pending

6

Continents

Ready to Experience the Future of Finance?

Talk to an expert

Learn more about the ideal finance solution for your needs

Book a meeting

Watch On-demand Demo

Explore our products through self-guided interactive demos

Visit the Demo Center

Resources

Cash Flow Projection | Cash Flow Analysis | Treasury Management Guide | Treasury Management System | Calculate Free Cash Flow | Cash Flow Statement | How To Choose Treasury KPI | Strategies To Increase Cash Flow | How To Conduct Variance Analysis | How To Build A Balance Sheet Forecast | What is Cash Flow Direct Method | Liquidity Management | Cash Inflow and Outflow | Currency Hedging | How To Calculate Cash Ratio | Hedge Accounting | Treasury Bills

Ebooks, Templates, Whitepapers & Case Studies:

AI In Treasury Management | Automating Cash Forecasting | Digital Transformation In Treasury | Use Cases Of AI In Cash Forecasting | Calculating ROI For Cash Forecasting | AI In Cash Flow Forecasting | Treasury Metrics | Benefits Of Treasury Payment System | Treasury KPIs | Cash Flow Calculator | Treasurers Toolkit | Choose the Best Cash Flow Management Tool | Cash Flow Forecasting Template