GTreasury Case Study: CUNA Mutual Group’s Cash Management & Liquidity Optimisation Project

3 November 2014

For more than 75 years, CUNA Mutual Group (CMG) has delivered product and service solutions that meet the unique challenges and needs of credit unions and their members. Based in Madison, Wisconsin, CUNA Mutual Group is a leading provider of insurance and lending solutions. CMG’s business is heavily focused on the transferring of money – collecting and disbursing cash.

Treasury operations are extremely strategic in nature, but understandably, business growth can outpace technological innovation. Over time, CMG’s business processes required rapid innovation. In doing so, several products, operations, and systems were created. Strict industry regulations coupled with internal policies and procedures resulted in having to maintain a multitude of systems necessary to handle various types of cash transactions.

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