Office of the CFO – Liquidity

GSCF delivers a range of thought leadership content, working capital resources, and Connected Capital insights to help the Office of the CFO and financial partners proactively manage short-term liquidity needs while scaling for long-term growth. 


How GSCF Helps Improve Liquidity

  • Unlock Trapped Cash
    Free up working capital by accelerating receivables, extending payables, and streamlining programs and workflows across the end-to-end working capital cycle.
  • Protect Your Balance Sheet
    Access alternative, off-balance sheet capital that expands liquidity without impacting existing credit lines or leverage ratios.
  • Gain Real-Time Visibility
    GSCF’s configurable platform integrates with your ERP and existing systems and workflows to provide centralized, real-time, actionable insights and analysis into working capital performance.

Ready to unlock liquidity?