Home Our Clients How R2 Hotels streamlined treasury operations and improved cash flow forecasting with Embat

How R2 Hotels streamlined treasury operations and improved cash flow forecasting with Embat

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Francisco Rodriguez Serrano
Finance Director

  • Downloading Excel files and manually categorising bank transactions
  • Significant time lost creating repetitive Excel reports due to a lack of data integration
  • Uncertainty about when real cash flow tensions might occur
  • Cash flow forecasting used to rely on a single person, as collaborating effectively in Excel was not feasible
  • Real-time treasury management
  • Consolidated cash flow forecasts
  • Creation of rules to automate the categorisation of transactions
  • Integration with payment portfolios

The customer

The challenge

1. Optimising treasury management to free up time for the finance team

2. Improving visibility of potential cash flow challenges

3. Enhancing team efficiency and productivity

The solution

Centralisation of data on a single platform

Creation of rules for categorising bank transactions

More accurate cash flow forecasting in a collaborative environment

Ongoing platform development based on feedback from R2 Hotels and other clients

Ready to flow?