List of the Best Broadridge Cash Management Alternatives in 2026
Explore the best alternatives to Broadridge Cash Management available in 2026. Compare user ratings, reviews, pricing, and features of these alternatives. Top Business Software highlights the best options in the market that provide products comparable to Broadridge Cash Management. Browse through the alternatives listed below to find the perfect fit for your requirements.
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ZenTreasury
ZenTreasury
ZenTreasury is an all-in-one cloud-based platform designed for modern finance teams who need full control over IFRS 16 lease accounting and treasury operations. Whether you manage a few dozen or several thousand contracts, ZenTreasury replaces manual spreadsheets with automation, compliance, and real-time visibility. Lease Accounting Capabilities: Full IFRS 16 compliance Automated classification, reassessment, and modifications Accurate journal entries and disclosure reports Multi-currency and multi-entity support Cost center allocations and optional asset-level tracking Role-based access control with detailed audit trails Rapid onboarding with an intuitive user experience Treasury Features: Centralized register for loans, guarantees, FX trades, and derivatives Cash flow forecasting and liquidity planning Treasury accounting entries Internal loan and interest rate management Simplified approvals and process workflows ZenTreasury supports seamless integration into your existing system landscape, helping you maintain accurate records and ensure financial transparency without the complexity of traditional ERP modules. The platform is hosted on enterprise-grade cloud infrastructure with strict security controls, supporting companies in regulated industries and high-growth environments. It is scalable, fast to implement, and backed by expert support. Trusted by enterprises worldwide, ZenTreasury is used across industries and regions by organizations looking to digitize financial operations, reduce compliance risk, and gain better insight into lease liabilities and financial instruments. Whether your priority is automating IFRS 16 reporting or improving treasury control, ZenTreasury delivers a complete solution to modernize your finance function with confidence. -
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CAPIX
CAPIX
Revolutionize treasury management with secure, accessible financial solutions.CAPIX is a cutting-edge cloud-based treasury and investment platform that provides users with a secure and centralized environment to effectively manage their corporate treasury and investment functions. It features advanced technology for cash flow management and forecasting, which significantly improves financial oversight. Utilizing the powerful infrastructure of Microsoft Azure, CAPIX enables users to access applications and data effortlessly from any device with internet connectivity, including desktops, tablets, and smartphones. The platform also supports trading across a diverse range of financial securities. Additionally, CTM™ complies with IAS 39 standards and offers enhanced cash management capabilities. By automating the deal capture process, CTM™ greatly simplifies the accounting and administrative responsibilities associated with treasury operations. It accommodates trading in a variety of financial securities and derivatives, such as Money Market instruments, Forex, Fixed Interest, Swaps, and Options, thereby addressing various trading requirements. This holistic approach not only empowers users to effectively manage their financial activities but also facilitates informed investment choices from virtually any location, making it an indispensable tool for modern financial management. With its intuitive interface and robust features, CAPIX enhances overall productivity while ensuring compliance and risk management. -
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Trovata
Trovata
Streamline your treasury management for smarter, faster decisions.Trovata delivers cutting-edge treasury software that enables users to get started in mere minutes, eliminating the need for IT assistance or cumbersome implementation timelines. By leveraging open banking and ERP integrations, Trovata simplifies the aggregation, normalization, and analysis of financial data, allowing for real-time insights into cash positions and trends. With ready-made integrations for the majority of banks, users can quickly connect and receive continuous updates without the hassle of manually downloading .CSV files from banking platforms. As a leader in open banking solutions, Trovata allows businesses to swiftly evaluate their cash status, accurately forecast future needs, and manage cash flow effectively. Historically, 75% of the workload associated with cash analysis has involved the labor-intensive process of manually gathering data and updating Excel spreadsheets, which can lead to inefficiencies and potential errors. By implementing Trovata.io, organizations can eliminate these burdensome manual tasks and greatly enhance their financial management practices. This forward-thinking solution not only optimizes operational workflows but also improves strategic decision-making by offering a more transparent view of cash resources, ultimately driving better business outcomes. Additionally, Trovata’s user-friendly interface ensures that teams can focus more on analysis and less on data entry. -
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Agicap
Agicap
Streamline cash flow management for smarter financial decision-making.Agicap consolidates your cash flow management while automating numerous tasks, allowing you to focus on essential areas like analysis and strategic decision-making. It facilitates seamless creation of cash flow forecasts and tracking of your performance against targets. By integrating your bank accounts and business applications, you can effectively visualize your cash position. This efficient method significantly boosts productivity through automated and centralized cash management. Furthermore, you can harness a comprehensive collaborative platform to efficiently aggregate all relevant data. Anticipating cash flow becomes easier at both the consolidated and individual entity levels, which simplifies the management of finances across several banks and business tools. With the functionality to set up automated cash forecasts, you can examine various scenarios to better prepare for future financial circumstances. Tailored dashboards can be crafted to enhance your analysis and reporting effectiveness. Additionally, Agicap automatically categorizes all banking transactions, ensuring that you remain informed by tracking real-time discrepancies between your actual results and forecasts. By developing a reliable forecast, you enable informed decision-making at the most advantageous times, thereby bolstering your financial strategy. Agicap ultimately provides you with essential tools that empower you to optimize your cash flow management efficiently, leading to improved financial health for your organization. This capability not only enhances your day-to-day financial operations but also supports long-term strategic planning. -
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Broadridge Revport
Broadridge Financial Solutions
Transform financial operations: streamline, automate, and grow effortlessly.Enhance your operational efficiency significantly, cut down accounts receivable processing time by half, and reduce resource costs with our innovative revenue and expense calculation platform. Developed by Broadridge, Revport simplifies your billing and invoicing tasks while providing a comprehensive overview that enables a focus on growth. Our state-of-the-art Revenue and Expense Management system automates finance workflows based on established rules and effectively manages revenue accruals and reversals, resulting in fewer errors and improved productivity. CFOs can effortlessly oversee all elements of revenue and expense management, including fee billing, accruals, invoice validation, and revenue sharing, all presented in an intuitive interface. Additionally, manage risk and credit exposures effectively by identifying and prioritizing payment obligations and optimizing the timing of cash outflows. Increase cash flow and capital utilization through real-time aggregation and visibility into cash activities across all business units, promoting proactive financial management. Ultimately, Revport equips organizations with the tools to make strategic decisions that encourage sustained growth and operational efficiency while adapting to evolving market conditions. By leveraging these capabilities, companies can streamline their financial operations and enhance their overall performance. -
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Panax
Panax
AI-native cash managementPanax is a cutting-edge cash management software tailored for the specific requirements of finance and treasury teams, enabling them to alleviate the challenges of manual operations by integrating data from multiple banks, ERPs, and payment systems into a unified real-time interface that features sophisticated AI analytics designed to boost operational efficiency, improve liquidity management, and mitigate risks. By automating vital treasury functions such as transaction categorization, reconciliation, forecasting, reporting, and cash application, it removes dependence on unreliable spreadsheets and manual workflows, ultimately empowering teams with enhanced strategic clarity and confidence in their decision-making processes. The software includes capabilities like real-time cash positioning, predictive cash forecasting, and proactive alerts, which facilitate smooth integration with international banks, ERPs, and payment platforms. Furthermore, Panax incorporates AI agents and a conversational assistant that enhance forecasting accuracy, detect anomalies, and aid in anticipating cash shortages, enabling teams to take preventive actions before challenges occur. This all-encompassing approach not only optimizes financial operations but also provides organizations with the essential tools to adeptly navigate the challenges of modern cash management, ensuring they remain agile and responsive to changing economic conditions. With its innovative features, Panax stands out as a vital resource for finance professionals seeking to elevate their operational capabilities. -
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Payference
Payference
Streamline cash management and enhance financial strategy effortlessly.Improve your cash flow by adopting quicker collection methods and enhanced forecasting capabilities all on a single, user-friendly platform. Gain access to your ERP, accounting, and banking data through a streamlined dashboard that offers real-time insights for swift decision-making. By automating repetitive data collection tasks, you free up precious time, allowing your finance team to focus on strategic initiatives that drive growth. The Payference IQ Technology™ is specifically crafted to optimize your working capital, helping you identify hidden cash while efficiently managing your Days Sales Outstanding (DSO) and Days Payable Outstanding (DPO). Count on a simple solution that comes with all the essential tools and support needed for effective cash management. Improve the efficiency of your cash collection operations to accelerate cash inflow. Furthermore, identify high-risk accounts to minimize their impact on your financial health. Leverage machine learning capabilities to accurately predict payment behaviors, while seamlessly integrating your ERP/accounting systems, banking partners, and various payment methods. Enjoy the convenience of automatic matching of payments with bank transactions for easy reconciliation, and keep track of your entire cash position in real-time from one central location. Additionally, you have the ability to make adjustments to your cash forecasts as circumstances change, ensuring that you remain proactive in addressing your financial needs. This level of adaptability can significantly enhance your overall financial strategy and resilience. -
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Bottomline Global Cash Management Hub
Bottomline
Streamline your finances: real-time insights and effortless management.Obtain a consolidated view of your cash flow through a single integrated platform that connects seamlessly with all your banking accounts, eliminating the need for manual updates. This ensures that every stakeholder can access the same detailed insight into financial health. By centralizing cash, credit options, loans, and various financial instruments, you can enhance your management of working capital with ease. Generate bank statements and account reports with minimal risk of errors and save considerable time on repetitive tasks. Quickly access your opening, projected, and intra-day balances with real-time updates, avoiding the inconvenience of logging into multiple bank websites. Customize your dashboards and screens to align with your individual preferences, creating a more personalized experience. Effortlessly track your expected revenues, accounts payable and receivable, and payroll. In addition, you can conveniently compare your forecasts with your budgets. The platform automatically refreshes your financial data, allowing you to leverage a variety of tools and perspectives for effective liquidity management and informed decision-making. You can also delve deeper into your data by filtering, drilling down, and exporting information, enhancing your ability to analyze it comprehensively. Moreover, evaluating cash positions in both original and reporting currencies ensures a thorough understanding of your financial situation. This all-encompassing approach guarantees that your decision-making processes are supported by accurate and timely financial information, ultimately leading to more strategic outcomes. The ability to visualize trends and insights further empowers your financial planning and operational efficiency. -
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Atlar
Atlar
Transform your treasury management with real-time financial insights.Atlar represents a cutting-edge treasury management solution tailored for the modern era, incorporating vital features such as cash management, payment processing, cash-flow forecasting, investment oversight, and smooth connectivity with banks and ERP systems into a unified real-time platform. By aggregating various bank accounts, payment processors, and financial applications, it allows users to oversee their balances, transactions, and liquidity in a streamlined manner across different banks, currencies, and organizations, all from an intuitive dashboard. The platform enhances accounts payable workflows, simplifies payment tasks, and facilitates bank reconciliation while ensuring seamless data integration with ERP systems, effectively reducing reliance on manual uploads, complex spreadsheets, and disjointed banking interfaces. With its customizable, policy-driven approval workflows and thorough audit trails, finance teams gain significant oversight over payments, permissions, and compliance protocols. Additionally, Atlar prioritizes security by implementing features like Single Sign-On (SSO) and Multi-Factor Authentication (MFA), creating a safe space for financial transactions. Among its suite of advanced tools are interactive cash flow management resources, which include both forecasting and scenario analysis, along with the capability to design tailored dashboards and access real-time analytics for enhanced liquidity oversight. This comprehensive approach ultimately empowers finance teams to make strategic decisions and refine their financial operations effectively while adapting to the evolving demands of the digital landscape. -
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FIS Treasury and Risk Manager
FIS
Streamline your treasury operations for enhanced financial visibility.FIS® Treasury and Risk Manager - Integrity Edition, which was previously referred to as Integrity SaaS, is a highly regarded platform that streamlines the development of an advanced digital treasury, significantly improving transparency in both cash and risk management. This powerful yet intuitive treasury management solution is designed to provide the flexibility and functionality required to manage a wide range of treasury operations, from cash positioning and forecasting to bank account management, payment processing, foreign exchange navigation, debt oversight, investment management, and compliance reporting. On a similar note, FIS® Treasury and Risk Manager - Quantum Edition, which was once known as Quantum, offers a thorough treasury management system that strengthens control and visibility over cash and liquidity, while also integrating risk management, hedging accounting, and the management of FX, interest rate, and commodity derivatives. Furthermore, it supports in-house banking, netting, regulatory reporting, and cash forecasting, enabling organizations to navigate the complexities of modern finance effectively. With these sophisticated capabilities at their disposal, businesses can enhance their strategic financial planning, improve risk mitigation efforts, and ultimately drive better outcomes in an increasingly competitive environment. -
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SymPro Cash Management
SymPro Treasury Management Solutions
Transform your cash management: fast, efficient, and reliable.Our cash management system simplifies the task of assessing your daily cash position, enabling you to complete this in just minutes rather than hours. Upon arriving at your office, you will find that all transactions from the previous day have been seamlessly integrated into your daily cash worksheet. This feature allows you to quickly grasp your organization’s total cash situation. Creating cash forecasts is also straightforward, as the system leverages historical data to produce reliable predictions for daily, weekly, monthly, or even annual time frames. Moreover, you can enhance your forecasts by easily importing data from various external sources. The electronic funds transfer module offers a secure and effective method for initiating, authorizing, approving, and tracking all electronic transactions. Additionally, the status and control feature streamlines the management of your payment processes across multiple banks, promoting smooth operations and greater efficiency. This all-encompassing system ultimately equips you with the tools needed to make well-informed financial choices with confidence, significantly improving your overall financial management experience. -
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Fygr
Fygr
Streamline cash flow management and empower your business today!Managing and forecasting cash flow has never been easier. Whether you're launching a new venture, running a micro-business, or operating a small to medium-sized enterprise, you can enhance your cash management with a powerful, all-in-one tool! What differentiates us from the rest? Fygr stands out as a trailblazing solution that automatically creates cash flow projections through a smart system designed to conserve both time and resources. You can connect all your banking accounts on one unified platform, enabling you to view individual accounts or multiple ones at the same time. Keep a close watch on your cash flow to avoid overdrafts. In just moments, you can gain a tailored and clear view of your financial health. Additionally, you can sort your expenses to fit your business requirements. Our sophisticated algorithms swiftly deliver a thorough overview of your cash flow metrics. Regain control over your finances and reduce expenses by effortlessly evaluating total costs by category. Take a step back to review your financial landscape, cutting out any superfluous spending. With confidence, make well-informed decisions as our algorithms can produce a cash flow forecast in mere seconds. This cutting-edge method ensures you maintain an edge in managing the financial well-being of your business while also paving the way for future growth. By utilizing Fygr, you empower yourself to navigate your financial journey with clarity and precision. -
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RocketChart
RocketChart
Streamline cash flow management and empower your business success!Bid farewell to the cumbersome chore of overseeing your cash flow with intricate spreadsheets. By integrating your bank accounts, you can automate your financial reports and keep an eye on your cash flow in real time. Discover a variety of forecasting methods to make educated decisions that will improve your business operations. Tracking cash flow is vital for achieving success, yet doing it manually in Excel can consume valuable resources. RocketChart simplifies and automates your cash management processes, enabling you to save time while gaining better control over your expenditures. With the capability for real-time cash flow management, you can link your bank accounts for immediate updates on both income and expenses. Obtain a holistic view of your overall cash flow while also examining details on a per-account basis. Monitor your cash runway effectively and manage your finances efficiently by fine-tuning your costs. You have the ability to create tailored categories and subcategories for more customized tracking, while our algorithm takes care of classifying your transactions automatically. This allows you to easily identify significant expenses and make necessary adjustments to enhance your budget. Start implementing a more intelligent strategy for financial management today, and watch your business thrive! -
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Kyriba
Kyriba
Transform your treasury operations with unparalleled cash visibility.A comprehensive grasp of cash and liquidity is crucial for the effective functioning of any treasury department. Without such insight, it becomes increasingly challenging to make sound financial decisions and achieve strategic objectives. Kyriba offers timely and accurate visibility into global cash positions, equipping treasury teams to create reliable forecasts that foster confidence within the organization. With its exceptional cash forecasting features, Kyriba presents a variety of methods for data input, importation, modeling, and assessment of cash forecast performance. This versatility enables clients to improve both the precision and the timeline of their cash projections, spanning days, weeks, months, or even years. Navigating the complexities of managing multiple global bank accounts often introduces significant challenges, including compliance and security risks. Kyriba’s bank relationship management solution addresses these issues effectively, promoting enhanced oversight of all global bank accounts while ensuring proper segregation of duties, preserving audit trails, monitoring signatories, and aiding in FBAR reporting. By simplifying these processes, organizations not only bolster their financial governance but also position themselves for greater operational efficiency and strategic agility. Ultimately, the integration of Kyriba's solutions can transform treasury operations into a more dynamic and responsive function. -
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Embat
Embat
Streamline treasury operations for enhanced control and agility.Optimize and elevate your organization's treasury management systems to achieve a higher level of control over your financial operations while enhancing liquidity management techniques. Streamline and automate critical processes, including cash flow monitoring, reporting, and forecasting related to cash and debt positions. Develop short, medium, and long-term liquidity forecasts that flawlessly interface with your ERP, accounting frameworks, and FP&A tools. Effectively manage your budget while exploring various planning scenarios to ensure financial agility. Harness the power of generative artificial intelligence to automate a staggering 90% of your treasury's accounting entries, ensuring accuracy and real-time updates to your financial records. Organize your reporting and treasury metrics efficiently to speed up decision-making and reduce preparation time significantly. Centralize all payment processing on a single platform to guarantee automated accounting and reconciliation within your ERP, eliminating errors and minimizing the need for human involvement. This holistic strategy not only streamlines operations but also liberates your treasury team, allowing them to concentrate on strategic initiatives rather than routine responsibilities. In doing so, your organization will position itself for greater financial resilience and innovation. -
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Brightflow AI
Brightflow AI
Empower your business with data-driven insights and financing solutions.Make well-informed choices based on analytics, efficiently oversee your cash flow, and obtain extra funding through the forecasting and financing solutions provided by Brightflow AI. This all-encompassing platform gathers real-time data from all your operational channels, offering business owners immediate cash flow forecasts, current business insights, and a range of financing options. By leveraging precise predictions, you can avert cash shortages and better predict both cash inflows and outflows, thereby optimizing your ordering and operational workflows. Furthermore, you can assess sales patterns using your distinct data alongside real-time metrics, enhance your credit standing, and be thoroughly equipped for obtaining loans. Effortlessly track trends with daily and monthly revenue evaluations, empowering you to seize growth opportunities by increasing your access to capital. Ultimately, Brightflow AI provides you with the essential resources needed for financial health and strategic growth while adapting to the ever-changing market landscape. With its intuitive interface, it simplifies complex financial processes, allowing you to focus on driving your business forward. -
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Treasury Intelligence Solutions
Treasury Intelligence Solutions
Transform your payment processes for enhanced efficiency and visibility.Numerous companies have made substantial investments to improve their inbound payment processes in order to enhance cash inflows. Conversely, many of these organizations have overlooked the opportunity to upgrade their outbound payment strategies, leading to disjointed functions, inconsistent systems, and localized operations that obscure cash flow visibility and paint an inaccurate picture of liquidity—putting the business at risk. TIS tackles this challenge by automating five critical outbound payment capabilities while promoting a culture of ongoing improvement. Businesses often encounter difficulties stemming from disparate systems, multiple data sources, and limited visibility within their global payment networks. To address these issues, TIS has developed a maturity model grounded in best practices that seamlessly integrates with their outbound payment technology platform, directing clients toward realizing Enterprise Payment Optimization. Given that both inbound and outbound payments play a significant role in the overall cash flows of multinational corporations, organizations worldwide are increasingly prioritizing the refinement of their payment processes and transaction efficiency. This dedicated push to enhance payment methodologies is essential for sustaining a competitive edge in an ever-changing financial environment, where adaptability and efficiency are paramount. Furthermore, companies that invest in optimizing both aspects of their payment processes will likely see improved financial health and operational effectiveness over time. -
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Datalog TMS
Datalog Finance
Transform your treasury with seamless integration and adaptability.Streamline your Treasury operations with the most adaptable and all-encompassing platform designed to tackle any complexity level. Datalog TMS simplifies the reconciliation of accounts, fee calculations, and interest rate optimization, empowering you to oversee cash flows, forecasts, payments, in-house banking, and advanced financial instruments efficiently. Are you eager to modernize your Treasury but uncertain where to begin? Opt for a TMS Module that addresses your most pressing needs, allowing you to incrementally implement additional modules with minimal disruption until you develop a cohesive TMS that fulfills all your treasury demands. Additionally, ensure seamless integration with any ERP, IT, or accounting system, enabling automatic data exchange in any format with any banking institution. This comprehensive approach ensures that your treasury solutions evolve alongside your business needs. -
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Lumina Americas
Lumina Americas
Empowering financial institutions with comprehensive trading and management solutions.Lumina Treasury provides a detailed front-office trading and portfolio management solution that aids financial institutions in managing their daily activities concerning both proprietary investments and external assets, including trading, treasury functions, and client as well as mutual fund portfolios. Users are equipped with a variety of tools to effectively oversee cash flows, balances, and liquidity—both historical and projected—while also managing exposure and risk associated with market curves, currencies, indexes, and options. The software facilitates the calculation of profit and loss on a daily, monthly, and yearly basis from a portfolio perspective, factoring in essential risk elements. Its extensive product offerings encompass standard instruments, derivatives, exotic derivatives, and structured products, with specialized options for the Latin American market, all analyzed in real-time with current market data. Furthermore, Lumina Treasury can either act as the main trading platform or serve as a centralized hub that aggregates transactions and positions from multiple applications through a wide range of interfaces, such as a proprietary API, which guarantees seamless integration and thorough oversight of trading activities. This adaptability enables institutions to customize their trading processes according to their unique requirements while ensuring strong management capabilities and operational efficiency. Ultimately, Lumina Treasury's robust platform empowers financial professionals to enhance their decision-making and optimize their trading strategies effectively. -
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ATOM Treasury & Risk Management
Financial Sciences
Streamline treasury management with customizable, innovative enterprise solutions.ATOM Treasury and Risk operates as a holistic enterprise treasury management system (TMS) for both corporate entities and financial institutions, efficiently coordinating vital treasury activities such as cash management, banking, forecasting, liquidity supervision, investments, funding, hedging, risk analysis, and financial reporting. This innovative platform utilizes a unique visual workflow technique to streamline treasury processes. The launch of "ATOM Cockpits" significantly enhances user interaction by merging navigation, functional capabilities, in-depth analytics, workflow administration, reporting, and business intelligence into a single unified home interface. These Cockpits address several essential business domains within ATOM, including cash management, banking, capital markets, risk management, and financial reporting. Users can customize each ATOM Cockpit, enabling them to prioritize the features and metrics that are most relevant to their operations, further refining their treasury management. This tailored approach not only boosts operational efficiency but also empowers users to make well-informed decisions that align with their unique requirements, ultimately leading to better financial outcomes. The flexibility and adaptability of this system ensure that it remains a valuable asset for any organization looking to enhance its treasury functions. -
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CashPundit
CashPundit Technologies
Transform your cash flow management for strategic growth today!CashPundit presents a groundbreaking approach to managing receivables and cash flow, offering an extensive view of cash flow dynamics that improves collection methods and addresses cash flow issues. The platform provides insightful forecasts of future cash flows, enabling businesses to make informed strategic choices that support their growth and financial stability. With its seamless integration into existing accounting software, CashPundit allows organizations to efficiently manage their receivables and payables. This tool is crafted to support CFOs and business leaders in taking charge of their cash flow, contributing to a more peaceful night's sleep. Notable features include a cash flow forecasting tool that reliably estimates cash inflows and outflows based on invoice deadlines and customer payment commitments, which helps in spotting potential cash shortages ahead of time for prompt action. Moreover, users benefit from payment follow-up reminders, ensuring they remain current with customer invoices, with notifications available through both web and mobile platforms. In summary, CashPundit not only simplifies cash management but also elevates the financial decision-making process, making it an essential resource for businesses striving to enhance their cash flow strategies. This innovative tool ultimately empowers businesses to navigate their financial landscapes with confidence and efficiency. -
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Likwidity
Likwidity
Cash Optimization software for accounting, finance, and treasury teamsLikwidity operates as a non-brokered SaaS marketplace tailored for cash deposits, linking corporations with banking institutions. This platform is designed to deliver several key benefits: 1. An automated marketplace that supports multi-bank and multi-currency deposit options, facilitating efficient price discovery and execution. 2. Increased interest income by streamlining the price discovery process through Requests for Quotes (RFQs) to foster competition among banks. 3. Tools for proficient management of bank accounts, ensuring compliance, risk limits, and effective maturity management. 4. For clients: 1. Enhanced interest rate outcomes achieved through a methodical and automated price discovery mechanism that can engage up to 20 banks at once. 2. Complete automation of various tasks, resulting in substantial time savings. 3. Strengthened relationships with existing banks while also opening doors to new partnerships. 4. Greater transparency concerning counterparty risks and the limits associated with them. 5. Thorough auditability and governance, complemented by strong risk and compliance protocols for managing cash assets. 6. Automatic reporting functionalities that are particularly beneficial for presentations to the board. 7. Ultimately, Likwidity aims to optimize cash management practices for corporations, thereby enhancing their financial prospects through cutting-edge technology, all while ensuring a more organized approach to managing corporate liquidity. -
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FiREapps
Rim Tec
Empowering multinationals with automated currency risk insights.FiREapps and Kyriba are joining forces with prominent multinational companies to deliver crucial insights regarding the impact of currency fluctuations on financial outcomes, which empowers these organizations to effectively manage and reduce currency risks in a cost-effective way. Their all-encompassing approach tackles the limitations of conventional ERPs, corporate consolidation practices, and financial planning tools, thereby providing multinationals with improved visibility into their cash flow, financial health, and currency exposures. Explore how forward-thinking companies are leveraging automated currency analytics in conjunction with comprehensive currency exposure management solutions. For more than a decade, FiREapps has partnered with a variety of leading enterprises, aiding them in boosting operational efficiencies and diminishing the adverse effects of currency fluctuations. This partnership has become vital for businesses striving to successfully maneuver through the intricacies of global finance, as it equips them with the tools necessary to thrive in an ever-evolving economic landscape. The continuous evolution of currency management strategies will only enhance these companies' competitive edge in the marketplace. -
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Finastra KTP
Finastra
Transform your treasury operations with secure cloud-based efficiency.Finastra KTP is a next-generation treasury management platform that centralizes global cash, liquidity, and risk data into a single, integrated view. Designed for both corporate and bank treasurers, it enables organizations to manage exposures effectively, optimize hedging strategies, and maintain compliance in a constantly shifting financial environment. Its cloud-based deployment via Microsoft Azure offers the highest standards of security, resilience, and performance, supporting continuous treasury operations across time zones. The solution’s modular architecture allows for highly tailored implementations, enabling organizations to choose and configure functionality according to their size, complexity, and treasury goals. Detailed, real-time reporting provides actionable insights, driving consistency in processes and decision-making across geographies. KTP supports multi-entity and multi-currency operations, ensuring treasurers have a complete and accurate picture of financial positions at all times. By reducing manual processes and consolidating systems, it lowers operational costs while improving responsiveness. Advanced analytics and integration capabilities make it a powerful tool for both strategic and operational treasury functions. Scalable and configurable, it adapts as organizations grow or restructure. Finastra KTP empowers treasury teams to navigate market volatility with confidence and efficiency. -
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SUMMA
PREFIS
Revolutionizing financial management with personalized treasury solutions.SUMMA is a groundbreaking treasury and risk management system that offers personalized financial oversight to its users. This state-of-the-art platform excels in managing cash flow, liquidity, and various financial risks effectively. Backed by two decades of experience from software implementations across global enterprises, central banks, commercial banks, and government finance ministries, SUMMA brings exceptional technological solutions for treasury operations, cash management, and risk evaluation. Its flexible architecture allows for customized solutions that specifically cater to the distinct needs of corporate clients as well as financial institutions. Furthermore, the adaptability of SUMMA ensures it can be continually refined and optimized according to your individual requirements. By prioritizing customization and user-specific solutions, SUMMA establishes itself as a frontrunner in the realm of financial management. Its innovative approach not only enhances operational efficiency but also fosters a deeper understanding of financial landscapes. -
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Obol
Obol
Streamline cash management with real-time insights and forecasting.Obol is the modern command center for cash flow, giving organizations real-time financial clarity and automated control from a single platform. As soon as teams connect their accounts, Obol consolidates balances, transactions, and inflows across entities and currencies into a unified live cash hub. Automated reporting replaces spreadsheet-heavy processes, generating accurate, up-to-date insights with no manual effort. The platform’s bottom-up forecasting tools dynamically update plans using live data, ensuring every financial decision is grounded in reality. Scenario modeling allows finance leaders to test assumptions, anticipate liquidity constraints, and reduce exposure to cash flow risks. Obol Copilot, the built-in AI assistant, provides fast explanations, variance analysis, and answers to complex financial questions. With seamless connections to 35,000+ banks, ERPs, and accounting systems, the platform integrates naturally into existing workflows. Teams save significant time each week by automating data entry, reconciliation, and recurring reporting. Obol empowers companies to operate proactively rather than reactively, shifting finance from manual tasks to strategic leadership. It is a comprehensive solution built to support cash flow excellence across every stage of business growth. -
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Trésorerie
JLogiciels
Empower your financial oversight with seamless, intuitive management.Take control of your organization's financial outflows by closely monitoring key health metrics through balances and receipts, which include analyzing patterns from your bank statements. Employ a cash journal to effectively track cash flow and manage expenses. The system is designed to handle both single and multiple payment entries while accommodating multiple users. It works seamlessly across various platforms such as MAC, PC, iPhone, iPad, and Android, with the capability to automatically generate recurring expenses. Furthermore, revenue management is made simpler by allowing users to input records for both suppliers and employees, featuring a detailed supplier sheet that aids in vendor management and ensures easy tracking of all orders. Monitor both one-off and recurring expenses with intuitive tracking that streamlines the journey from creation to payment, while the software automatically organizes recurring expenses according to their due dates. Drawing insights from extensive collaboration with construction firms, Jogiciels has crafted specialized software designed to cater to the unique demands of this sector, effectively addressing every aspect of their operations. This not only enhances financial oversight but also empowers users to maintain a well-structured and efficient financial management system. As a result, businesses can ensure accuracy and consistency in their financial dealings. -
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HighRadius
HighRadius
Transforming finance operations with AI for ultimate efficiency.HighRadius is a technology-driven financial services company that leverages AI-powered Autonomous Systems to streamline finance operations, including Order-to-Cash, Record-to-Report, and Treasury management, for various businesses. Our advanced Autonomous Software platform, designed specifically for the Office of the CFO, harnesses AI to help organizations reduce Days Sales Outstanding (DSO), enhance working capital efficiency, expedite financial closures, and boost overall productivity. With a track record of assisting over 700 prominent organizations, ranging from large enterprises to mid-sized firms, HighRadius has successfully revolutionized finance workflows in areas such as O2C, treasury, and R2R. Our comprehensive Order-to-Cash solutions encompass Credit Risk Management, AR Collections, Cash Application, Deduction Management, as well as E-Invoicing and Payment software. Additionally, we provide sophisticated Treasury management tools, including Cash Management and Cash Forecasting software, while our Accounting solutions feature Financial Close Management, Account Reconciliation, and Anomaly Management software, ensuring a holistic approach to financial efficiency. By integrating these solutions, HighRadius empowers organizations to achieve greater financial accuracy and operational agility. -
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IVP Treasury
Indus Valley Partners
Transform treasury management for enhanced efficiency and insights.In the current financial environment characterized by shrinking prime broker balance sheets, a diverse range of counterparties, and tight regulatory frameworks, the significance of effective treasury management has reached new heights. Indus Valley Partners aids asset managers in enhancing these processes, allowing them to adeptly navigate the growing complexities surrounding financing, cash flow, and collateral management. With an impressive $1 trillion in assets under management processed through IVP's Treasury Management, firms can transform their treasury functions to more efficiently uncover alpha, optimize workflows, improve data integrity, and strengthen decision-making capabilities, while gaining a holistic view of their collateral, cash, and margin management strategies. This service encompasses the oversight of collateral and margin across various custodians to ensure superior liquidity management, the automation of margin calculations for heightened efficiency, and the implementation of collateral optimization indexing coupled with comprehensive opportunity analyses. Furthermore, it enables seamless communication with counterparties regarding margin call resolutions and the production of standard, customized, and on-demand reports that uphold transparency and precision in financial operations. By harnessing these advanced tools, asset managers not only enhance their operational efficiency but also better equip themselves to respond to the rapidly changing dynamics of the market. As a result, they are positioned to seize new opportunities and mitigate potential risks in an increasingly complex financial landscape. -
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TreasurUp
TreasurUp
Empower your bank with seamless, advanced treasury solutions.TreasurUp is a cutting-edge cloud-based platform that delivers a customizable business banking solution specifically designed for commercial banks, enabling them to offer advanced digital treasury, risk, liquidity, and cash management services to their SME and corporate clients under their own branding. This innovative solution empowers banks to stay competitive against fintech offerings without the burden of developing internal systems from scratch. It encompasses a broad array of modules, including tools for foreign exchange trading, sophisticated hedging techniques, cash visibility, and integrated liquidity dashboards, along with cash flow forecasting capabilities and connections to accounting or ERP systems, cross-border and batch payments, cross-currency target balancing, and investment options, all accessible via web, mobile, and API interfaces, while accommodating regional customization and single sign-on features. With a strong emphasis on API connectivity, TreasurUp offers real-time insights into account balances, transactions, and ERP information, enabling businesses to derive actionable intelligence regarding their cash positions. Additionally, it simplifies key workflows, such as automating hedging processes based on predictive analytics, and streamlines treasury tasks like managing foreign exchange risks, significantly improving the overall banking experience for clients. By providing a comprehensive and user-friendly platform, TreasurUp equips banks to not merely meet but surpass the demands and expectations of their clientele, thus solidifying their competitive edge in the financial landscape. The platform's adaptability ensures that banks can cater to the evolving needs of their customers effectively.