Cash management finance is a financial strategy that helps businesses maintain the necessary balance between their cash inflows and outflows. It involves managing both current assets and liabilities, in order to make sure that good decisions are made about how funds are used and invested. The goal is to ensure that a company has enough liquidity on-hand at all times, so they can take advantage of opportunities and weather any challenges while covering their expenses. Cash management finance is an essential tool for businesses of all sizes, as it helps them optimize their working capital and maximize their returns on investments.