A comprehensive liquidity management solution that spans the front-to-back office operations and allows banks to offer a comprehensive range of services to their corporate clients to identify, manage and enhance liquidity positions. The versatile solution supports cross-border, cross-currency, and cross-bank capabilities.
Forecast cash flows and select the right liquidity management structures on any channel
Consolidating cash positions across multiple accounts in multiple time zones, currencies and countries in real-time
A single entity, multi-locational, cross-currency notional pooling structure
Choice of flexible models for interest benefit computation and allocation methods
Extensive interfacing capabilities leveraging a robust integration platform
Offer customized liquidity management services
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