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Treasury Management is a financial service that helps businesses manage their cash flow, liquidity, and risk. It involves the management of cash, investments, and banking activities. Treasury Management services include cash flow forecasting, cash management, debt management, foreign exchange, and risk management. It also includes the management of financial instruments such as derivatives, bonds, and equities.
Treasury Management services are used by businesses of all sizes, from small businesses to large corporations. It helps businesses to optimize their cash flow, manage their liquidity, and reduce their risk. It also helps businesses to maximize their returns on investments and manage their debt.
Some companies in the Treasury Management market include Bank of America, JPMorgan Chase, Wells Fargo, Citigroup, U.S. Bank, PNC Financial Services, and TD Bank. Show Less Read more