Payments and Banking Support

Managing the flow of cash, both into and out of a business, is critical to its survivability and growth – especially during recessional periods when a firm’s liquidity is vital to its credit and reputation worthiness.

  • Payments and receipts (cash operations) for both intra-company and external
  • Treasury and banking management, including cross-currency strategy implementation
  • Payroll processing and support, so employees are paid on time
  • Management Information and Cash flow Analysis (current and future)

Ambosco helps organizations to focus their investments of time, talent, energy and money on delivering the value wanted by customers. By analyzing cash inflows (revenue generation activities) and cash outflows (revenue spending activities), organizations are able to find ways to increase cash inflows.

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