Treasury
management
For crypto businesses and start-ups with idle cash balances, the oportunity exists to improve return and extend runway.
Managing cash and liqudity needs can be tackled by using a cash tiering framework.
Portions of total reserves are allocated to accounts or strategies which maximise liquidity for short term needs while portions are retained to target enhanced returns and cash growth.
Old Street Digital brings expertise to treasury management, pioneering crypto strategies to enhance your return profile.
Cash tiering framework: matching cash and liquidity needs
