What is CashValue?

CashValue is a sophisticated cash management software designed to provide treasurers with critical daily insights that aid in managing their cash positions, which in turn supports informed decisions regarding arbitrations and forecasting. This innovative tool allows for extensive oversight of all banking agreements and terms, enabling it to accurately calculate interest ladders for a variety of bank accounts, even factoring in retroactive values for any late entries. In addition to ensuring that balances and value dates are consistent, CashValue diligently tracks bank charges, whether they are unit fees or commission rates, and accommodates different levels and tiers of financial activities. Moreover, CashValue empowers users to visualize the financial health of each subsidiary while automatically streamlining cash pooling across various bank accounts. With a focus on minimizing data entry, CashValue's Treasury Management System (TMS) significantly boosts both decision-making and analytical capabilities, proving itself to be an essential tool for effective financial management. Ultimately, this software not only simplifies the complexities of cash management but also equips treasurers with the tools needed to refine and optimize their financial strategies in a rapidly changing economic landscape. By leveraging CashValue, organizations can navigate their financial operations with greater agility and precision.

Integrations

No integrations listed.

Screenshots and Video

CashValue Screenshot 1

Company Facts

Company Name:
Datalog Finance
Date Founded:
1997
Company Location:
France
Company Website:
www.datalog-finance.com

Product Details

Deployment
SaaS
Support
Web-Based Support

Product Details

Target Company Sizes
Individual
1-10
11-50
51-200
201-500
501-1000
1001-5000
5001-10000
10001+
Target Organization Types
Mid Size Business
Small Business
Enterprise
Freelance
Nonprofit
Government
Startup
Supported Languages
English

CashValue Categories and Features

Financial Reporting Software

"What If" Scenarios
Audit Trail
Balance Sheet
Cash Management
Consolidation / Roll-Up
Forecasting
General Ledger
Income Statements
Multi-Company
Multi-Department / Project
Profit / Loss Statement