Modular TMS with features for cash management, transaction management, payments automation, forecasting, risk analysis, and regulatory compliance.
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. |
Diapason advertises real-time cash visibility across all accounts from a consolidated dashboard on their product page. | |
Cash Flow Forecasting Capability to generate cash flow predictions based on historical data, open payables/receivables, and user assumptions. |
Vendor resources explicitly mention automated cash flow forecasting based on both historicals and operational data. | |
Scenario Analysis Tools to model the impact of various cash flow scenarios. |
Scenario analysis (modelling alternate cash and forecast scenarios) is included in Diapason’s cash management/forecasting modules. | |
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. |
Automated bank data integration via direct bank feeds and API listed as a key capability (daily/intraday updates). | |
Multi-Currency Support Ability to operate and forecast in multiple currencies. |
Multi-currency support clearly documented for both cash positioning/forecasting and payment execution. | |
Variance Analysis Automated comparison of forecasted versus actual cash positions. |
Automated reconciliation/comparison of forecasted vs actual cash positions described as variance analysis functionality. | |
Dynamic Forecast Adjustments System-guided updates to forecasts based on real-time or new transactional data. |
Dynamic forecast adjustments supported using new bank feeds and transactional data; details provided in product sheets. | |
Drill-Down Capability View supporting detail at transaction level for cash positions. |
Diapason offers drill-down capability to the transaction level for cash position and forecast data. | |
Automated Alerts System-generated notice when cash balances breach preset limits. |
System has rule-based alerts for threshold breaches and exceptions, covering cash balances. | |
Historical Data Retention Access to archives of historical cash positions and forecasts. |
Historical cash data retention for reporting and audit indicated as part of core reporting/analytics. | |
Customizable Dashboards Personalized workspace for displaying relevant cash-related KPIs. |
Dashboards are configurable/personalized to end users, per vendor interface and documentation screenshots. |
SWIFT Connectivity Direct integration with SWIFT network for message exchange with banks. |
No information available | |
Host-to-Host Integration Direct, secure file exchanges between TMS and partner banks. |
Host-to-host bank integrations are referenced in the solution’s bank connectivity and integration modules. | |
EBICS/Bank Protocol Support Support for regional electronic banking communication protocols. |
EBICS and various global/regional bank protocols supported as per product documentation. | |
Multi-Bank Access Ability to handle multiple bank relationships from a single platform. |
Multi-bank access (managing relationships and accounts from one platform) is a key feature for Diapason. | |
Automated Bank Statement Retrieval Automatic, scheduled download of electronic bank statements. |
Automatically retrieves bank statements via SWIFT/EBICS/Host2Host connection, per platform capabilities. | |
Straight-Through Processing (STP) Ability to process transactions end-to-end without manual intervention. |
Straight-through processing for payments and statement reconciliation is described as a core automation benefit. | |
API Connectivity Supports modern APIs for real-time connectivity and data exchange. |
API connectivity supported for both real-time data exchange and open banking integration. | |
Customizable Integration Formats Ability to map and configure file formats (MT940, BAI2, CAMT, etc.). |
Custom file format mapping (MT940, CAMT, CSV, etc.) included in bank connectivity documentation. | |
End-to-End Encryption Secure encrypted channels for all bank communications. |
End-to-end encryption for all banking communications is listed as a compliance/IT security feature. | |
Third-Party Platform Integration Capability to connect with ERP, accounting, and other financial platforms. |
Integration with ERP, accounting, and external financial platforms is highlighted in product materials. | |
Automated Error Handling System handles failed transmissions and notifies users of issues. |
No information available |
Bulk Payment Processing Submission and management of batch payment files to banks. |
Bulk payment processing is present (batch files, mass file import/export for payments) as per product features. | |
Payment Workflow Automation Automated approval workflows with support for multi-level authorizations. |
Automated payment workflows and multi-level approval chain supported (with full customizability). | |
Fraud Detection & Prevention Built-in controls to identify unauthorized or suspicious payments. |
Fraud detection (rules, validations, exception management) referenced for payments management. | |
Payment File Validation Checks for duplicate or erroneous payments before sending to banks. |
Payment file validation against errors/duplicates is a built-in compliance and risk feature. | |
Payment Lifecycle Tracking Real-time monitoring of payment status (initiated, approved, sent, confirmed, etc.). |
Payment lifecycle/status tracking available from initiation to final confirmation. | |
Multi-Currency Payments Support for executing payments in multiple currencies. |
Multi-currency payments supported, per product’s international treasury and FX management offerings. | |
Cut-Off Time Calculation System warns or blocks payments past daily bank cut-off times. |
System blocks/warns about payments past cutoff times; this is visible in automation settings. | |
Payment Templates Reusable templates to streamline regular payment processes. |
Reusable payment templates/standing orders included in payment workflow documentation. | |
Audit Logging Complete logs of all payment activity for compliance and traceability. |
Audit logging is standard for all payment activities (compliance and traceability). | |
Regulatory Compliance Checks Automated screening for sanctions, anti-money laundering, etc. |
Sanctions, AML, and regulatory screening built in for outgoing payments. | |
Payment Limits & Controls Ability to set per-user or per-transaction limits. |
User- and transaction-level limits and controls available in user/security admin settings. |
Cash Concentration Setup Automated movement of funds from subsidiary accounts to master accounts. |
Automated cash pooling and sweeping functionality explained in liquidity management module. | |
Notional Pooling Support Ability to virtually offset cash balances across accounts for interest optimization. |
No information available | |
Physical Sweeping Rules Custom sweep instructions for systematic cash movement. |
No information available | |
Short-Term Investment Recommendation Suggestions for deploying excess liquidity in short-term instruments. |
No information available | |
Automated Investment Execution Ability to auto-invest surplus cash per defined policy. |
No information available | |
Intercompany Loan Management Management and record-keeping for internal lending/borrowing. |
No information available | |
Interest Allocation Engine Automated calculation/allocation of pool interest to participants. |
No information available | |
Liquidity Reporting Comprehensive reporting on available and utilized liquidity. |
Liquidity reporting, including available and used liquidity, is part of standard dashboards. | |
Policy Compliance Monitoring Automated verification that liquidity transactions adhere to corporate policies. |
No information available | |
Real-Time Pool Position Instantaneous view of pooled cash positions. |
Real-time liquidity pool positions displayed on dashboard for group treasuries. |
Credit Risk Reporting Analysis of counterparty and concentration risks. |
No information available | |
FX Risk Exposure Calculation Measurement and reporting of foreign currency exposures. |
Platform can calculate and display FX exposures by currency; FX management is advertised as a core capability. | |
Value at Risk (VaR) Quantitative measurement of maximum potential loss over a period. |
No information available | |
Interest Rate Sensitivity Analysis Assessment of impact of interest rate changes on cash and investments. |
No information available | |
Scenario Stress Testing Ability to model the effect of adverse market events. |
No information available | |
Counterparty Limit Management Setting and monitoring limits for financial counterparties. |
No information available | |
Regulatory Compliance Dashboard Monitor compliance with all relevant treasury regulations. |
Regulatory compliance dashboarding is referenced, supporting treasury-specific regulatory obligations. | |
Custom Analytics & KPIs Design and track custom risk metrics. |
Custom analytics and KPI builder present for risk, liquidity, and operational data. |
Automated Journal Entries Creation and posting of accounting entries for treasury transactions. |
Journal entry automation available for treasury/accounting transactions and bank moves. | |
ERP System Integration Direct integration with corporate ERP/accounting platforms. |
ERP system integration (SAP, Oracle, etc.) available according to solution documentation. | |
Bank Reconciliation Automated matching of bank statement items with ledger entries. |
Bank reconciliation is a promoted feature (matching statements to ledger automatically). | |
Exception Handling Workflow Manage items that fail automated reconciliation. |
No information available | |
Multi-GAAP/IFRS Support Enable parallel accounting treatments as required. |
No information available | |
Audit Trail for All Entries Track all changes and approvals for accounting records. |
No information available | |
Custom Chart of Accounts Mapping Flexible mapping of transaction types to accounting codes. |
No information available | |
Automated Accrual & Amortization Calculation Scheduling of recurring accounting entries for accruals. |
No information available | |
Manual Adjustment Interface User-friendly environment for ad hoc journal entries. |
No information available |
Role-Based Access Control User permissions based on defined job responsibilities. |
Role-based access control is advertised as standard in security documentation. | |
Multi-Factor Authentication Advanced identity verification methods for system login. |
Multi-factor authentication supported for system login (compliance/SOC2). | |
Audit Logging Record of all user activity for compliance and review. |
User activity audit logging present in both payment and security settings. | |
Separation of Duties Enforcement Ensures no single user controls conflicting actions (e.g., initiation and approval). |
Separation of duties is enforced via workflow and user role permissions. | |
Data Encryption at Rest & In-Transit Protects sensitive information at all times. |
Data encryption at rest and in transit mentioned in IT security compliance documents. | |
Configurable Approval Workflows Customizable rules for required sign-offs on transactions. |
Configurable approval workflows for payments and critical changes supported. | |
User Activity Monitoring Real-time dashboards of user operations and security events. |
User activity monitoring visible in admin/security dashboards. | |
Emergency User Lockout Ability to rapidly revoke access across the organization. |
No information available |
Custom Report Builder Drag-and-drop or template-driven report creation. |
Custom report builder for treasury and cash reporting—confirmed in product documentation. | |
Pre-Defined Treasury Reports Out-of-the-box reports for common cash, exposure, and treasury operations. |
Offers a library of pre-defined and ad hoc treasury/cash/risk reports. | |
Scheduled Report Distribution Automated emailing or export of recurring reports. |
Scheduled report distribution to email/users is described as standard functionality. | |
Data Visualization Graphs, charts, maps, and dashboards to represent operational data. |
Data visualization (dashboards, graphs, KPI widgets) present throughout cash and risk modules. | |
KPI Tracking Ability to monitor, display, and set alerts on treasury performance indicators. |
KPI tracking and threshold alerts part of dashboard/reporting features. | |
Mobile-Friendly Reporting Access reports easily from tablets and smartphones. |
No information available | |
Ad Hoc Query Tools Search and pivot treasury data on demand. |
Ad hoc query tools (search, filter, pivot) built into reporting modules. | |
Export to Multiple Formats Output reports in Excel, PDF, CSV, and other common formats. |
Report export to Excel, PDF, and CSV described in documentation. | |
Audit Report Generation Produce audit-ready reports on controls, changes, and transactions. |
Audit report generation is supported for compliance and IT/systems audits. |
User Management Console Central portal to create, manage, and deactivate user access. |
User management console available in the admin/system panel. | |
Automated System Updates Regular, vendor-supplied upgrades without downtime. |
Automated system updates listed as a key SaaS feature (cloud product), minimal downtime. | |
Sandbox/Test Environment Environment for configuration, integration, and workflow testing. |
Test/sandbox environments available for configuration and integration before go-live. | |
Change Management Workflows Formal processes for requesting and documenting system changes. |
No information available | |
System Health Monitoring Provides uptime, error tracking, and performance metrics. |
No information available | |
Backup & Disaster Recovery Automated, regular backups and tested recovery procedures. |
No information available | |
Service Level Agreement (SLA) Defined uptime and support standards, typically agreed upon with vendor. |
No information available | |
API Administration Tools Management and monitoring of external API integrations. |
No information available |
Intuitive User Interface Easy-to-navigate, logical, and visually appealing system screens. |
Screenshots and vendor demos highlight a modern, intuitive, easy-to-navigate user interface. | |
Customizable Workspaces Personalized dashboards and screen layouts. |
Customizable/personal user workspaces and dashboards are supported. | |
Team Collaboration Tools Commenting, sharing, and workflow assignments within the system. |
No information available | |
Multi-Language Support Localized language options for global teams. |
Multi-language support for global teams confirmed in international product factsheet. | |
Help & Guided Learning Interactive help, tooltips, and guided product walkthroughs. |
Interactive help, tooltips, and guide resources shown in online demo/video walkthroughs. | |
Mobile App Access Native or web-based mobile applications. |
No information available | |
Accessibility Compliance Support for WCAG/ADA accessibility standards. |
No information available | |
User Feedback Mechanisms Ability for users to submit feedback directly from the system. |
Users can provide feedback directly through the cloud/SaaS interface. |
Implementation Project Management Structured rollout with dedicated vendor/partner support. |
Vendor provides structured implementation project management with dedicated resources for onboarding/config. | |
Dedicated Support Team Tiered help desk and escalation procedures. |
Dedicated tiered support (with escalation) described in customer support documentation. | |
Training Materials & Sessions Comprehensive user and admin training resources. |
Comprehensive training materials and user/admin sessions provided by Exalog as part of standard service. | |
Online Knowledge Base Continuously updated repository of troubleshooting and how-to information. |
Online knowledge base and user resources are available and referenced in vendor support links. | |
Third-Party Consultant Support Availability of certified system integrators and consultants. |
No information available | |
Customizable Onboarding Programs Tailored onboarding processes to fit organizational structure. |
No information available | |
Customer Community Forums User-to-user support and product improvement discussions. |
No information available | |
24/7 Support Availability Round-the-clock customer service access. |
No information available |
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