Simplifying

cash management

Talk to a Cash Management Expert

  • Automate connectivity across all banks for bank statement inputs
  • Get global visibility into cash balances to better plan daily and weekly cash positioning activities
  • Set daily cash positions automatically, manually, or using system-generated recommendations
  • Create a single repository of cash balances and transactions for all stakeholders across the company
  • Auto-reconcile prior cash transactions to identify discrepancies against planned cash positions
  • Track and administer bank account and signatory information in a single system

Best Cash Flow Management Software

Integrate with multiple data sources via APIs and sFTP

Automated Data Gathering

Schedule and connect seamlessly with banks and other sources to extract data and auto-populate market data, bank transactions, and other  data needed to support multi-currency cash positioning.

  • Process files in all formats, including XML, BAI2, MT940, XLS, and CSV
  • Auto-classification of bank transaction category based on transaction details
  • Independent market data from external sources
  • Option for  users to override or manually upload their own market data
  • Includes holidays for all financial centers for the next 50 years to  manage business days

Request a Demo

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

Auto-reconciliation of Bank Statements

Auto-reconcile bank statement items based on user-defined tolerances, matching rules, and auto-cash transaction creation, and easily find and resolve exceptions with a manual matching option.

  • Automated reconciliation based on user-defined and standard tagging rules within tolerances (1-1 to many-many)
  • Maintain account level status of bank connectivity and reconciliation
  • Exception handling via manual reconciliation of transactions and outstanding statement items

Request a Demo

Record and explore expected and actual transactions

Cash Position Worksheets

Improve cash visibility using configurable cash position templates that provide customizable views of cash and bank balances including the ability to fund, clear, and create cash transactions in a single click.

  • On-demand cash positioning across bank accounts, companies, account groups, pools, currencies and time horizons.
  • Easily create cash and intercompany-linked transactions.
  • Drill down into transactional details for each account
  • Automatically record all cash activities across actual, mirrored, and notional bank accounts.

Request a Demo

Automate reconciliation of previous day transactions

Investment/Debt Planning

Investment and debt planning based on credit line availability and predetermined targets to make decisions more efficiently.

  • Create recommended concentration and funding transfers
  • Drag and drop functionality to make transfers in a single click

Request a Demo

Manage and track intercompany balances and notional pools

Business intelligence

Online dashboards with transaction-level drill-down to make it easier to take decisions.

  • Robust reporting with transaction-level drill-down capabilities

Request a Demo

Bank Account Signatory Management

Track and manage accounts and other types of signatories.

  • Manual entry or bulk import
  • Bulk edit and delete ability to update many signatories at once
  • Track approval limits, different signatory groups, and types.
  • Tracking of personal information (GDPR compliant)

Request a Demo

Automate your bank connectivity and reconciliation

Get a no-risk free trial for cash management

SCHEDULE YOUR FREE DEMO

Resources

Datasheet

Cash Management Datasheet
Download Now

Infographic

6 Best Practices of a Cash Manager
Download Now

eBook

How an Automated Cash Management Solution Solves The Daily Problems of a Cash Manager
Download Now