Expected revenue
Schedule interpretation, rates, Fuel, portfolio timing, and the daily Forecast.

Guided product demo
We will use a representative USPS contractor reporting cycle to show how Clear Treasury moves from operating schedule to forecast, reconciliation, drill-down, and executive evidence.
What we will cover
Schedule interpretation, rates, Fuel, portfolio timing, and the daily Forecast.
Forecast-to-DW and TMS-to-DW bridges with controlled exceptions.
Drill-down, Excel support, immutable runs, AI analysis, and downloadable PDFs.