Cash management, in-house banking, dealing, reconciliation, risk management, and compliance. Features include cash forecasting, multi-banking, intercompany loans, FX management, and investment/debt portfolio management.
Comprehensive platforms that integrate cash management, forecasting, and bank connectivity. These systems provide real-time visibility into global cash positions, automate reconciliation processes, and manage internal and external cash flows.
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Real-Time Cash Visibility Ability to view consolidated cash positions across all bank accounts and entities in real time. |
Marketing materials and product documentation mention real-time consolidated cash visibility as a core feature. | |
Cash Flow Forecasting Capability to generate cash flow predictions based on historical data, open payables/receivables, and user assumptions. |
Website and product notes specifically mention cash forecasting as a main feature. | |
Scenario Analysis Tools to model the impact of various cash flow scenarios. |
Scenario analysis is commonly included when cash forecasting and risk management are available; also referenced in publicly available documentation. | |
Forecast Accuracy Reporting Metric to assess how closely forecasts match actuals. |
No information available | |
Automated Bank Data Integration Direct feeds from banking partners for daily or intraday balance updates. |
Multi-banking connectivity implies automated bank data integration; typical in TMS of this class. | |
Multi-Currency Support Ability to operate and forecast in multiple currencies. |
Explicitly stated in product description as multi-currency support. | |
Variance Analysis Automated comparison of forecasted versus actual cash positions. |
Variance analysis is an inherent part of reconciliation and forecasting functionality as mentioned in feature overview. | |
Dynamic Forecast Adjustments System-guided updates to forecasts based on real-time or new transactional data. |
Forecasting models update based on transactional data per official documentation; meets dynamic forecast adjustment criteria. | |
Drill-Down Capability View supporting detail at transaction level for cash positions. |
Drill-down to transaction level implied as part of reconciliation and cash position modules. | |
Automated Alerts System-generated notice when cash balances breach preset limits. |
Alerts for limit breaches and other exceptions are standard in TMS; referenced in solution benefits. | |
Historical Data Retention Access to archives of historical cash positions and forecasts. |
Retention of historical data for audit and reporting is referenced in feature list. | |
Customizable Dashboards Personalized workspace for displaying relevant cash-related KPIs. |
Customizable dashboards and user-defined KPIs are promoted in the user interface/UX sections of the product materials. |
SWIFT Connectivity Direct integration with SWIFT network for message exchange with banks. |
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Host-to-Host Integration Direct, secure file exchanges between TMS and partner banks. |
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EBICS/Bank Protocol Support Support for regional electronic banking communication protocols. |
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Multi-Bank Access Ability to handle multiple bank relationships from a single platform. |
Multi-bank access is specifically mentioned as a product differentiator and core feature in multi-banking support. | |
Automated Bank Statement Retrieval Automatic, scheduled download of electronic bank statements. |
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Straight-Through Processing (STP) Ability to process transactions end-to-end without manual intervention. |
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API Connectivity Supports modern APIs for real-time connectivity and data exchange. |
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Customizable Integration Formats Ability to map and configure file formats (MT940, BAI2, CAMT, etc.). |
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End-to-End Encryption Secure encrypted channels for all bank communications. |
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Third-Party Platform Integration Capability to connect with ERP, accounting, and other financial platforms. |
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Automated Error Handling System handles failed transmissions and notifies users of issues. |
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Bulk Payment Processing Submission and management of batch payment files to banks. |
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Payment Workflow Automation Automated approval workflows with support for multi-level authorizations. |
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Fraud Detection & Prevention Built-in controls to identify unauthorized or suspicious payments. |
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Payment File Validation Checks for duplicate or erroneous payments before sending to banks. |
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Payment Lifecycle Tracking Real-time monitoring of payment status (initiated, approved, sent, confirmed, etc.). |
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Multi-Currency Payments Support for executing payments in multiple currencies. |
Support for multi-currency payments is highlighted on product pages under payment management. | |
Cut-Off Time Calculation System warns or blocks payments past daily bank cut-off times. |
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Payment Templates Reusable templates to streamline regular payment processes. |
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Audit Logging Complete logs of all payment activity for compliance and traceability. |
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Regulatory Compliance Checks Automated screening for sanctions, anti-money laundering, etc. |
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Payment Limits & Controls Ability to set per-user or per-transaction limits. |
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Cash Concentration Setup Automated movement of funds from subsidiary accounts to master accounts. |
Cash concentration features (such as sweeping and pooling) are listed as supported. | |
Notional Pooling Support Ability to virtually offset cash balances across accounts for interest optimization. |
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Physical Sweeping Rules Custom sweep instructions for systematic cash movement. |
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Short-Term Investment Recommendation Suggestions for deploying excess liquidity in short-term instruments. |
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Automated Investment Execution Ability to auto-invest surplus cash per defined policy. |
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Intercompany Loan Management Management and record-keeping for internal lending/borrowing. |
Management of intercompany loans is outlined in the main product information and feature benefits. | |
Interest Allocation Engine Automated calculation/allocation of pool interest to participants. |
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Liquidity Reporting Comprehensive reporting on available and utilized liquidity. |
Product explicitly offers liquidity reporting functionality. | |
Policy Compliance Monitoring Automated verification that liquidity transactions adhere to corporate policies. |
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Real-Time Pool Position Instantaneous view of pooled cash positions. |
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Credit Risk Reporting Analysis of counterparty and concentration risks. |
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FX Risk Exposure Calculation Measurement and reporting of foreign currency exposures. |
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Value at Risk (VaR) Quantitative measurement of maximum potential loss over a period. |
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Interest Rate Sensitivity Analysis Assessment of impact of interest rate changes on cash and investments. |
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Scenario Stress Testing Ability to model the effect of adverse market events. |
Scenario stress testing or modeling is described as part of risk and scenario analysis capabilities. | |
Counterparty Limit Management Setting and monitoring limits for financial counterparties. |
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Regulatory Compliance Dashboard Monitor compliance with all relevant treasury regulations. |
Compliance dashboards and monitoring tools are highlighted in the compliance features. | |
Custom Analytics & KPIs Design and track custom risk metrics. |
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Automated Journal Entries Creation and posting of accounting entries for treasury transactions. |
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ERP System Integration Direct integration with corporate ERP/accounting platforms. |
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Bank Reconciliation Automated matching of bank statement items with ledger entries. |
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Exception Handling Workflow Manage items that fail automated reconciliation. |
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Multi-GAAP/IFRS Support Enable parallel accounting treatments as required. |
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Audit Trail for All Entries Track all changes and approvals for accounting records. |
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Custom Chart of Accounts Mapping Flexible mapping of transaction types to accounting codes. |
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Automated Accrual & Amortization Calculation Scheduling of recurring accounting entries for accruals. |
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Manual Adjustment Interface User-friendly environment for ad hoc journal entries. |
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Role-Based Access Control User permissions based on defined job responsibilities. |
Role-based access controls are noted as part of the user governance and control system. | |
Multi-Factor Authentication Advanced identity verification methods for system login. |
Multi-factor authentication supported for additional system login security. | |
Audit Logging Record of all user activity for compliance and review. |
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Separation of Duties Enforcement Ensures no single user controls conflicting actions (e.g., initiation and approval). |
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Data Encryption at Rest & In-Transit Protects sensitive information at all times. |
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Configurable Approval Workflows Customizable rules for required sign-offs on transactions. |
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User Activity Monitoring Real-time dashboards of user operations and security events. |
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Emergency User Lockout Ability to rapidly revoke access across the organization. |
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Custom Report Builder Drag-and-drop or template-driven report creation. |
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Pre-Defined Treasury Reports Out-of-the-box reports for common cash, exposure, and treasury operations. |
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Scheduled Report Distribution Automated emailing or export of recurring reports. |
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Data Visualization Graphs, charts, maps, and dashboards to represent operational data. |
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KPI Tracking Ability to monitor, display, and set alerts on treasury performance indicators. |
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Mobile-Friendly Reporting Access reports easily from tablets and smartphones. |
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Ad Hoc Query Tools Search and pivot treasury data on demand. |
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Export to Multiple Formats Output reports in Excel, PDF, CSV, and other common formats. |
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Audit Report Generation Produce audit-ready reports on controls, changes, and transactions. |
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User Management Console Central portal to create, manage, and deactivate user access. |
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Automated System Updates Regular, vendor-supplied upgrades without downtime. |
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Sandbox/Test Environment Environment for configuration, integration, and workflow testing. |
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Change Management Workflows Formal processes for requesting and documenting system changes. |
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System Health Monitoring Provides uptime, error tracking, and performance metrics. |
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Backup & Disaster Recovery Automated, regular backups and tested recovery procedures. |
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Service Level Agreement (SLA) Defined uptime and support standards, typically agreed upon with vendor. |
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API Administration Tools Management and monitoring of external API integrations. |
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Intuitive User Interface Easy-to-navigate, logical, and visually appealing system screens. |
Marketing documentation consistently references an intuitive and modern user interface. | |
Customizable Workspaces Personalized dashboards and screen layouts. |
Customizable and personalizable user workspaces and dashboards are offered. | |
Team Collaboration Tools Commenting, sharing, and workflow assignments within the system. |
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Multi-Language Support Localized language options for global teams. |
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Help & Guided Learning Interactive help, tooltips, and guided product walkthroughs. |
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Mobile App Access Native or web-based mobile applications. |
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Accessibility Compliance Support for WCAG/ADA accessibility standards. |
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User Feedback Mechanisms Ability for users to submit feedback directly from the system. |
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Implementation Project Management Structured rollout with dedicated vendor/partner support. |
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Dedicated Support Team Tiered help desk and escalation procedures. |
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Training Materials & Sessions Comprehensive user and admin training resources. |
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Online Knowledge Base Continuously updated repository of troubleshooting and how-to information. |
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Third-Party Consultant Support Availability of certified system integrators and consultants. |
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Customizable Onboarding Programs Tailored onboarding processes to fit organizational structure. |
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Customer Community Forums User-to-user support and product improvement discussions. |
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24/7 Support Availability Round-the-clock customer service access. |
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Middleware solutions that connect treasury management systems with corporate ERP or accounting platforms, ensuring accurate and automated posting of treasury transactions.
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