Business Data Process

Treasury Management

Cash is king. Manage it well.

Real-time visibility into your cash position. Optimized liquidity, reduced borrowing costs, better decision making. Know where your cash is, always.

24/7visibility
15%less idle cash

What we deliver

Cash Positioning

Daily balances across all accounts and entities.

Cash Forecasting

Short and medium-term cash flow projections.

Bank Reconciliation

Automated matching, exception management.

Cash Pooling

Intercompany funding, notional pooling support.

Reporting

Daily, weekly, monthly cash reports and dashboards.

FX Management

Exposure tracking, hedge accounting support.

Bank Relations

Account management, fee analysis, RFP support.

Payment Factory

Centralized payment processing and controls.

How we do it

Daily Rhythm

7:00
Balance Pull

Automated feeds from all banks, all currencies consolidated.

8:00
Position Report

Cash position delivered to your inbox before you start.

AM
Funding Decisions

Intercompany transfers, investment, borrowing recommendations.

PM
Reconciliation

Same-day bank rec, exceptions flagged immediately.

Technology

Bank Connectivity

SWIFT, host-to-host, API connections to major banks.

Forecasting Engine

ML-based forecasting with AP/AR integration.

Real-time Dashboards

Live cash position, variances, alerts, drill-down.

Payment Controls

Approval workflows, fraud detection, audit trails.

Why outsource treasury

10-15%
improvement

Optimize working capital

Better visibility means less idle cash and lower borrowing. Most clients see 10-15% improvement.

99.9%
fraud prevention

Reduce risk

Proper controls, fraud detection, and segregation of duties without building a big team.

scalability

Scale without headcount

Add entities, currencies, and complexity without hiring specialists.

Want better cash visibility?

Let's discuss how we can help optimize your treasury operations.

Get in touch