Palm is an AI-powered cash forecasting system that sits on top of your TMS, transforming how you predict and manage liquidity. Beyond automated bottom-up forecasts, Palm helps you identify cash buffers, optimize positioning, and act on opportunities before they pass - like the global retailer that uncovered $350M in idle cash while cutting forecast cycles from days to minutes. Palm's AI learns your company's unique financial vocabulary to automatically categorize transactions, magically map any document format (supporting bulk-uploads of revenue estimates, regional forecasts, bank statements), and build forecasts from your historical and real-time data. Built with enterprise-grade security, Palm continuously anticipates liquidity needs, explains forecast variance, and surfaces actions before risks or opportunities materialize. Treasury teams gain a live, decision-ready view of cash across entities, currencies, and cash pools—all in one place. For Treasury Managers: Automated cash forecasting and positioning across all entities, eliminating busywork. For CFOs: Strategic liquidity intelligence across financial instruments and actionable insights to deploy capital efficiently. Go live in weeks with minimal IT involvement—no heavy implementations, complex integrations, or extensive training required.