Treasury Cash Management Software for Global Cash Visibility

  • Drive automation for your treasury department with our treasury cash management software
  • User defined cash position worksheet templates that provide company-wide view of finances
  • CFOs can now have confidence to execute strategies more efficiently

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Cash Management Application with Automated Bank Reconciliation

Trusted by 200+ Global 2000 Companies

Autonomous Treasury Cash Management

Integrate with multiple data sources via APIs and sFTP

Connect seamlessly with all banks, ERPs, and independent market data sources to process files in all formats including XML, BAI2, MT940, ISO20022, XLS, and CSV.

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Get a 360-degree view of company-wide cash positions

Check real-time cash positions across bank accounts, companies, pools, and currencies in user-defined worksheet templates with transaction-level drill down capability.

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Record and explore expected and actual transactions

Cash Transaction Explorer allows users to create cash or intercompany transactions and explore them with advanced search functionality.

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Automate reconciliation of previous day transactions

Auto-reconcile transactions based on standard and user-defined tagging rules while the rare exceptions are reconciled by creating transactions automatically or manually.

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Manage and track intercompany balances and notional pools

Automatically capture intercompany activities, track balances, and record interest across all mirrored and notional bank accounts.

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Automate your bank connectivity and reconciliation

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