Improving Cash Cycle Management for the Long Haul

As a carrier, you are an essential part of the nation’s supply chain, keeping the economy moving forward even in the most challenging times. Your ability to be competitive depends on how well you can manage your cash-to-cash cycle—your financial supply chain.

This white paper explores the benefits of having detailed insight into your freight receivables and how to use that insight to improve liquidity, gain operational efficiencies and reduce your days sales outstanding (DSO). It also provides the shipper’s perspective to help amplify your ability to collaborate with them and elevate your status as a preferred carrier.