Tag
Managing money
8 articles
Latest Managing money articles
- Glide Equity · Migration guide·10 min
How to migrate your cap table from Carta to Glide Equity
Export the five required Carta Excel reports, upload them to Glide Equity, resolve reconciliation errors, confirm legal terms, and invite stakeholders safely.
- Learn · Business finance·13 min
What is working capital, and how do businesses manage it?
Working capital explained with the current-assets-minus-current-liabilities formula, cash conversion cycle, timing risks, and practical management levers.
- Learn · Spend management·13 min
What is expense management? How businesses track and control spend
How expense reports, employee reimbursements, company cards, spend controls, receipt evidence, approvals, accounting, and reconciliation fit together.
- Learn · FX risk·11 min
Managing FX risk: a practical guide for businesses with foreign-currency exposure
A practical FX risk-management guide for businesses, covering exposure registers, natural hedging, multi-currency balances, forwards, options, and a worked example.
- Learn · Accounting·11 min
Multi-currency accounting: how businesses handle FX gains, losses, and bookkeeping
How multi-currency accounting works: functional currency, transaction and closing rates, realized and unrealized FX, revaluation, settlement, QuickBooks, and Xero.
- Learn · Accounts payable·11 min
Invoice processing: how the AP workflow actually works
Learn the invoice-processing workflow, including two-way and three-way matching, approvals, bottlenecks, automation, duplicate controls, and reconciliation.
- Learn · Reconciliation·11 min
Accounting reconciliation: how businesses match records and catch errors
Learn accounting reconciliation, the manual bank-reconciliation process, common discrepancies, review controls, and how remittance data improves matching.
- Learn · Treasury·11 min
Corporate treasury management: what it means for a growing business
Learn what corporate treasury does, when an SMB needs treasury discipline, and how to manage cash, liquidity, forecasts, FX, banks, and controls.