HOME NEWS ARTICLES PODCASTS VIDEOS EVENTS JOBS COMMUNITY TECH DIRECTORY ABOUT US
at Financial Technnology Year
This content is provided by FinTechBenchmarker.com who are responsible for the content. Please contact them if you have any questions.
A cloud-based treasury management platform offering cash management, payment management, risk management, and working capital solutions. For financial institutions, it provides liquidity forecasting, counterparty risk monitoring, and investment portfolio tracking capabilities.
Platforms for managing the bank's investment portfolio and trading activities across different asset classes.
More Trading and Investment Systems
More Treasury ...
Multi-asset class support System's ability to handle different financial instruments such as bonds, currencies, derivatives, and money market instruments |
Kyriba Treasury supports cash, investments, FX, and derivative instruments, indicating multi-asset class support. | |
Real-time order execution Capability to execute trades instantly as orders are placed |
No information available | |
Order routing optimization Intelligent routing of orders to optimal execution venues based on price, liquidity, and cost |
No information available | |
Trade execution speed Time taken from order submission to execution confirmation |
No information available | |
Algorithmic trading capabilities Support for rules-based automated trading strategies |
No information available | |
Direct market access (DMA) Ability to access exchange order books directly without intermediaries |
No information available | |
RFQ (Request for Quote) functionality Ability to request and compare quotes from multiple counterparties |
No information available | |
Block trading capabilities Support for executing large volume trades with minimal market impact |
No information available | |
Smart order types Availability of advanced order types like TWAP, VWAP, iceberg orders |
No information available | |
Maximum order throughput Maximum number of orders the system can process per second |
No information available | |
Trading hours coverage Hours per day the system is available for trading operations |
No information available | |
Pre-trade analytics Tools for analyzing potential trades before execution |
Kyriba provides pre-trade analytics for cash and liquidity planning as part of its risk and cash management modules. |
Real-time exposure tracking Continuous monitoring of risk exposure across portfolios and asset classes |
Real-time exposure tracking is cited as a key feature in Kyriba’s risk management and liquidity forecasting documentation. | |
VaR (Value at Risk) calculations Ability to calculate potential losses over specific time horizons and confidence levels |
No information available | |
Stress testing capabilities Tools to simulate extreme market conditions and assess potential impacts |
Stress testing and scenario modeling are available in Kyriba for liquidity and risk assessments. | |
Counterparty risk monitoring Tracking exposures to individual trading counterparties |
Counterparty risk monitoring is specifically listed as a Kyriba risk management capability. | |
Limit management Setting and enforcing trading limits across traders, desks, and portfolios |
Kyriba allows for setting trading and exposure limits as part of its risk control toolkit. | |
Pre-trade compliance checks Automatic verification of trade compliance before execution |
Trade compliance workflows and checks (including sanction list, policy) are supported in the platform. | |
Scenario analysis Ability to model different market scenarios and their impact on portfolios |
Scenarios/what-if analysis are available for risk and liquidity in Kyriba. | |
Credit risk assessment Tools for evaluating and monitoring borrower or issuer creditworthiness |
No information available | |
Liquidity risk monitoring Tracking and forecasting asset liquidity and funding requirements |
Liquidity risk monitoring is a key Kyriba feature, including tracking and forecasting requirements. | |
Risk calculation frequency How often risk calculations are updated |
No information available | |
Risk factor coverage Number of risk factors (interest rates, FX rates, etc.) the system can model |
No information available | |
Risk-adjusted performance metrics Tools for measuring returns relative to risk taken (Sharpe ratio, etc.) |
No information available |
Real-time pricing data Live market pricing information across relevant asset classes |
Kyriba integrates real-time pricing and cash balance data from banks and market sources for treasury decisions. | |
Historical data depth Length of historical market data available for analysis |
No information available | |
Market data sources Number of different data sources/providers integrated |
No information available | |
Technical analysis tools Availability of chart patterns, indicators, and technical signals |
Kyriba offers dashboard widgets and technical charting for FX and investment modules. | |
Fundamental data integration Access to economic indicators, company financials, and other fundamental data |
Kyriba provides integration with financial data, economic indicators, and company data via third parties. | |
Advanced visualization tools Interactive charts, heatmaps, and other visual data representations |
Interactive dashboard widgets and data visualizations are standard in Kyriba. | |
Customizable dashboards Ability for users to create personalized data views and analytics displays |
Kyriba’s dashboard is customizable, allowing users to select and arrange information. | |
Market news integration Real-time financial news feeds and alerts within the system |
Integrated financial news and alerts are available via Kyriba’s news/data integrations. | |
Data refresh rate Frequency of market data updates |
No information available | |
Yield curve construction Tools for building and analyzing interest rate yield curves |
Kyriba offers interest rate and yield curve modeling for treasury processes. | |
Volatility surface modeling Capabilities for modeling and visualizing implied volatility across strikes and maturities |
No information available | |
Alert configuration capabilities Ability to set custom price or condition-based alerts |
Alert configuration for balances, payments, and other condition-based triggers is supported by Kyriba. |
Multi-portfolio support Ability to manage multiple segregated portfolios simultaneously |
Kyriba allows managing different accounts, entities, and portfolios—multi-portfolio support by design. | |
Portfolio optimization tools Analytical capabilities to optimize portfolios based on risk/return objectives |
Portfolio optimization and scenario modeling are features in Kyriba investment/treasury modules. | |
What-if scenario analysis Ability to model potential trades and see their impact on portfolio characteristics |
What-if scenario analysis is present for liquidity and investment planning in Kyriba. | |
Performance attribution Tools to break down portfolio returns by various factors and decisions |
No information available | |
Asset allocation modeling Frameworks for strategic and tactical asset allocation decisions |
Asset allocation modeling is possible as Kyriba includes tools for allocation decisions across accounts/assets. | |
Benchmark comparison Ability to measure portfolio performance against selected benchmarks |
Ability to compare investment/portfolio performance to benchmarks is described in Kyriba literature. | |
Duration and convexity management Tools for managing interest rate sensitivity of fixed income portfolios |
No information available | |
Cash flow forecasting Projection of future portfolio cash flows from investments |
Cash flow forecasting is a central Kyriba feature. | |
Maximum portfolio capacity Maximum number of securities the system can efficiently manage in a portfolio |
No information available | |
Portfolio rebalancing tools Features for automated or assisted portfolio rebalancing to maintain target allocations |
Rebalancing tools for investments and cash accounts are in Kyriba's suite. | |
Tax optimization capabilities Tools to manage tax impacts of investment decisions |
No information available | |
ESG factor integration Ability to incorporate environmental, social, and governance factors into portfolio management |
ESG factor integration is supported through data provider integrations in Kyriba. |
Trade surveillance Automated monitoring of trading activity for suspicious patterns |
No information available | |
Regulatory reporting automation Tools to generate and submit required regulatory reports |
Regulatory reporting automation is supported through pre-built reports and workflows. | |
Audit trail capabilities Comprehensive logging of all user actions and system events |
Full audit trail of user/system actions is a core requirement and provided in Kyriba. | |
AML/KYC integration Anti-Money Laundering and Know Your Customer screening capabilities |
Kyriba includes AML/KYC integrations and workflows for screening. | |
Jurisdictional rule support Number of different regulatory jurisdictions supported by the system |
No information available | |
Limit breach detection Automated detection and alerting of limit violations |
Limit breach detection and alerting are part of treasury and risk features in Kyriba. | |
Compliance dashboard Centralized view of compliance status across operations |
Compliance dashboards are available for monitoring and reporting. | |
Policy management tools Features to implement and enforce internal trading policies |
Internal policy management tools for workflows/limits exist in Kyriba. | |
Regulatory update frequency How often the system is updated to reflect new regulations |
No information available | |
Sanctions list screening Ability to check trades against sanctioned entities and individuals |
Sanctions list screening is a listed feature of Kyriba’s compliance and payment modules. | |
Conflict of interest management Tools to identify and manage potential conflicts of interest |
No information available | |
Restricted trading period enforcement Ability to implement trading blackout periods for specific users or securities |
No information available |
API availability Presence of well-documented APIs for integration with other systems |
Kyriba offers RESTful and SOAP APIs as well as bank/data integrations. | |
Core banking system integration Ability to connect with the bank's core banking platform |
Direct integration options for core banking and ERP systems, including SAP/Oracle, are cited in Kyriba documentation. | |
Trading venue connectivity Number of exchanges, ECNs, and other trading venues directly connected |
No information available | |
FIX protocol support Implementation of Financial Information eXchange protocol for trade messaging |
FIX protocol is often supported for market connectivity in treasury investment modules. | |
SWIFT connectivity Integration with SWIFT network for financial messaging |
Kyriba facilitates SWIFT messaging for payments and statement integration. | |
Data warehouse integration Ability to connect with enterprise data warehouses for reporting and analytics |
Data warehouse integration is available for reporting and analytics. | |
Third-party integration options Number of pre-built connectors to third-party systems |
No information available | |
Real-time integration capabilities Support for real-time data exchange between systems |
Real-time push/pull data integration is offered for cash, market data, and trading workflows. | |
Integration latency Average delay in data transmission between integrated systems |
No information available | |
Single sign-on support Ability to integrate with enterprise authentication systems |
Single sign-on (SSO) via SAML and OAuth is supported by Kyriba. | |
External data feed support Ability to incorporate data from external providers (Bloomberg, Refinitiv, etc.) |
Kyriba ingests external data feeds from Bloomberg, Refinitiv, and other financial data vendors. | |
Open banking compatibility Support for open banking standards and APIs |
Kyriba states open banking API compatibility for EU/UK and other jurisdictions. |
System uptime guarantee Contractual availability commitment from the vendor |
No information available | |
Failover capabilities Automated recovery mechanisms in case of system failure |
Failover and redundancy, including automated failover, are specified as part of Kyriba's cloud infrastructure. | |
Disaster recovery features Comprehensive business continuity provisions for major outages |
Disaster recovery with failover data centers is described in Kyriba’s risk documentation. | |
Average system response time Typical time for the system to respond to user actions |
No information available | |
Maximum concurrent users Peak number of simultaneous users the system can support efficiently |
No information available | |
Load balancing capabilities Ability to distribute workload across system resources |
Kyriba cloud uses load balancing as part of its architecture. | |
Data backup frequency How often system data is backed up |
No information available | |
Performance monitoring tools Built-in capabilities to monitor system performance metrics |
System provides monitoring dashboards for usage, performance, and data processing. | |
Scalability features Ability to handle increased transaction volumes without degradation |
Kyriba infrastructure is designed for elastic scalability with client growth. | |
Maximum daily transaction volume Peak number of transactions the system can process in a day |
No information available | |
Geographic redundancy System deployment across multiple geographic locations for resilience |
Kyriba infrastructure is geographically redundant via AWS/Cloud multi-zone deployments. | |
Recovery point objective (RPO) Maximum acceptable data loss in case of system failure |
No information available | |
Recovery time objective (RTO) Maximum acceptable time to restore system operations after failure |
No information available |
Multi-factor authentication Requirement for multiple verification methods to access the system |
Multi-factor authentication is included in Kyriba’s security layers. | |
Role-based access control Granular permission management based on user roles |
Role-based access control (RBAC) is a standard security feature. | |
Data encryption standards Level of encryption used for data at rest and in transit |
Kyriba data is encrypted both at rest and in transit per SOC 2/ISO certifications. | |
Security certification compliance Adherence to recognized security standards (ISO 27001, SOC 2, etc.) |
Kyriba is ISO 27001, SOC 1/2/3 certified per vendor documentation. | |
Intrusion detection systems Automated monitoring for unauthorized access attempts |
Intrusion detection and automated security monitoring is cited in Kyriba's security disclosures. | |
Penetration testing frequency How often security penetration tests are conducted |
No information available | |
User activity monitoring Tracking and logging of all user actions within the system |
User activity monitoring is present for compliance and internal auditability. | |
Biometric authentication options Support for fingerprint, facial recognition, or other biometric verification |
No information available | |
Session timeout controls Automatic termination of inactive user sessions |
Session timeouts and inactivity controls are configurable in Kyriba. | |
Security incident response Formal procedures for addressing security breaches |
A formal incident response and escalation process is described in Kyriba security guides. | |
Vulnerability management Process for identifying and addressing security vulnerabilities |
Ongoing vulnerability management and patching routine is required for Kyriba’s compliance regimes. | |
Third-party security audits Independent verification of security controls |
Third-party audits are performed annually (ISO 27001, SOC 1/2). |
User interface customization Ability for users to personalize screens and workflows |
Users can customize dashboards and workflow screens. | |
Mobile app availability Presence of a mobile application for remote access |
Kyriba provides a mobile app for iOS and Android for treasury and payment approval functions. | |
Training resources Availability of documentation, videos, and other learning materials |
Extensive help resources including documentation, e-learning, and webinars are available. | |
Support hours Hours per week that technical support is available |
No information available | |
Average support response time Typical time for support to respond to queries |
No information available | |
User community resources Forums, user groups, or other peer collaboration platforms |
User forums and knowledge base are available for Kyriba clients. | |
Implementation timeframe Typical time required to fully implement the system |
No information available | |
Workflow automation capabilities Tools to automate routine tasks and approval processes |
Workflow automation for payments, approvals, and liquidity planning is advertised. | |
Multilingual support Number of languages supported in the user interface |
No information available | |
User satisfaction rating Average satisfaction score from existing users |
No information available | |
System update frequency How often the vendor releases new features and improvements |
No information available | |
Customizable reporting Ability for users to create and modify reports without technical assistance |
Custom reports and ad hoc analytics can be created by users without IT intervention. | |
Help desk tiers Number of support levels available for issue escalation |
No information available |
Systems for optimizing and allocating the bank's financial resources, including capital and liquidity.
More Financial Resource Management
More Treasury ...
Real-time Cash Visibility Ability to view real-time balances across all bank accounts and treasury positions |
Kyriba markets real-time cash visibility as a core differentiator across all connected bank accounts. | |
Cash Forecasting Tools to predict future cash positions based on historical data, scheduled transactions and market conditions |
Liquidity and cash forecasting are documented core Kyriba features. | |
Multi-currency Support Ability to manage cash in multiple currencies with automatic conversion and exchange rate tracking |
Kyriba supports multi-currency cash and risk, as noted in product literature. | |
Cash Pooling Automated concentration of funds across multiple accounts to optimize interest and minimize fees |
Cash pooling is a standard cash optimization tool in Kyriba's treasury suite. | |
Idle Cash Optimization Automated solutions for investing excess cash in short-term instruments |
Idle cash investment/optimization discussed in Kyriba solution guides. | |
Reconciliation Automation Automatic matching of bank statements with internal records |
Automated reconciliation is listed as a feature in Kyriba product documentation. | |
Liquidity Metrics Dashboard Visual representations of key liquidity ratios and metrics |
Liquidity analytics dashboards are shown as product screenshots and discussed in solution briefs. | |
Reconciliation Speed Time required to fully reconcile transactions across all accounts |
No information available | |
Cash Position Refresh Rate Frequency at which cash position data is updated from banking systems |
No information available | |
Historical Cash Data Retention Length of time cash flow data is maintained for analysis |
No information available | |
Forecast Accuracy Tracking Ability to measure and report on cash forecast accuracy over time |
Forecast accuracy tracking is cited as part of forecasting module analytics. | |
Working Capital Analysis Tools to analyze and optimize components of working capital |
Working capital/receivables analytics tools are included in the working capital module. |
Payment Factory Centralized payment processing hub for all company disbursements |
Payment Factory/Centralized payment hub is an explicit Kyriba payment module feature. | |
Payment Format Support Number of supported payment file formats (SWIFT, ACH, SEPA, etc.) |
No information available | |
Approval Workflows Configurable multi-level approval chains for payment authorization |
Multi-level approval workflows are built into the payment authorization process. | |
Payment Calendar Scheduling system for managing payment dates and deadlines |
Payment calendar/payment scheduling modules are present in Kyriba as per website. | |
Fraud Detection AI-powered system to identify suspicious payment patterns |
Kyriba offers fraud detection using machine learning (AI-powered) as marketed. | |
Beneficiary Management Central repository for managing and verifying payment recipients |
Beneficiary management and verification are core parts of payment processing. | |
Payment Tracking End-to-end visibility of payment status from initiation to receipt |
End-to-end payment tracking/trace is among listed features for payments. | |
Bank Fee Analysis Tools to monitor, analyze and optimize bank transaction fees |
Bank fee analysis is part of Kyriba’s payment and bank reporting functionality. | |
Sanction Screening Automatic checking of payments against regulatory watchlists |
Sanction screening against regulatory/watchlist data described in payment controls. | |
Maximum Payment Volume Number of payments the system can process per day |
No information available | |
Payment Execution Time Average time from payment initiation to completion |
No information available | |
Bulk Payment Processing Ability to process multiple payments simultaneously as a batch |
Bulk/batch payment processing is marketed and indicated in user documentation. | |
Recurring Payment Templates Ability to create and schedule regular recurring payments |
Recurring payment templates and schedules are specified Kyriba features. |
Multi-Bank Integration Ability to connect with multiple banking partners through a single interface |
Multi-bank integration through a single interface is a key Kyriba cash/bank core feature. | |
API Banking Support Utilizes modern API connections for real-time banking data exchange |
API banking (with real-time data) is supported and promoted across Kyriba documentation. | |
SWIFT Connectivity Direct connection to the SWIFT network for global banking |
SWIFT connectivity is offered and certified for global payments/balance retrieval. | |
Host-to-Host Connections Direct secure file transfer connections with banking partners |
Host-to-host bank connectivity implemented for direct integration. | |
ERP Integration Pre-built connectors to major ERP systems |
ERP integration with SAP, Oracle, Microsoft, etc., provided as standard connectors. | |
Open Banking Compliance Supports PSD2 and open banking standards for data sharing |
Open Banking API and PSD2 compliance is emphasized for European and global banks. | |
Bank Account Management Centralized system for managing bank account signatories and authorities |
Centralized bank account management is a documented Kyriba feature. | |
Connection Reliability Uptime percentage for banking connections |
No information available | |
Number of Supported Banks Total number of banks with pre-built integration support |
No information available | |
Data Transfer Frequency How often data is exchanged with banking systems |
No information available | |
Bank Statement Import Automation Automatic retrieval and processing of bank statements |
Bank statement import and reconciliation automation is a key marketing point. | |
Connection Setup Time Average time required to establish a new bank connection |
No information available |
FX Exposure Management Tools to track and manage foreign exchange risk across the organization |
FX/foreign exchange risk dashboards and exposure management included. | |
Interest Rate Risk Analysis Models to assess impact of interest rate changes on debt portfolio |
Interest rate risk analysis and scenario planning included. | |
Counterparty Risk Monitoring System to track exposure limits and risk profiles for financial counterparties |
Counterparty risk monitoring is cited in product overview and official documents. | |
Market Data Integration Real-time feed of market rates, prices and indicators |
Market data integration for rates, FX, etc. mentioned as a risk and pricing tool. | |
Hedge Accounting Support for hedge relationship documentation and effectiveness testing |
Hedge accounting support (including documentation/testing) is included in risk module. | |
Scenario Analysis Tools to model financial impacts under different market conditions |
Scenario analytics and stress-testing are part of Kyriba risk tooling. | |
Value at Risk (VaR) Calculation Quantitative risk assessment of potential portfolio losses |
Value at Risk (VaR) calculation is referenced in risk management documentation. | |
Stress Testing Capability Ability to simulate extreme market conditions and assess impact |
Stress testing capability listed under advanced analytics/risk modules. | |
Credit Rating Monitoring Tracking of credit ratings for investments and counterparties |
Credit rating monitoring is included for counterparties and investments. | |
Risk Dashboard Visual consolidated view of all financial risk exposures |
Centralized risk dashboard is a promoted Kyriba visualization. | |
Risk Metric Calculation Speed Time required to calculate comprehensive risk metrics |
No information available | |
Number of Scenario Templates Pre-built scenario models available for risk analysis |
No information available | |
Historical Simulation Depth How far back historical data is available for risk modeling |
No information available |
Investment Portfolio Tracking Comprehensive tracking of all investments across asset classes |
Investment portfolio tracking is specified as a feature in product overview. | |
Policy Compliance Monitoring Automated checking of investments against treasury policy constraints |
Policy compliance monitoring for investments included. | |
Investment Performance Analytics Tools to measure and report on investment returns |
Investment performance analytics are included in the investment management suite. | |
Money Market Fund Integration Direct connection to money market fund platforms |
Direct money market fund platform connections listed among cash investment features. | |
Investment Decision Support Analytics to help optimize investment decisions based on goals and constraints |
Kyriba provides decision support analytics for investment strategies. | |
Maturity Laddering Tools Visual tools for structuring investments across different maturity dates |
Maturity ladder/laddering visualization tools noted in investment suite. | |
Mark-to-Market Valuation Real-time valuation of investment positions at current market prices |
Mark-to-market valuation is indicated as available in real-time. | |
Asset Allocation Analysis Tools to optimize portfolio allocation across asset classes |
Asset allocation analysis tools present for investment mix optimization. | |
Number of Supported Investment Types Range of investment instruments supported by the platform |
No information available | |
Yield Calculation Methods Number of methodologies available for calculating investment returns |
No information available | |
Investment Transaction Volume Maximum number of investment transactions that can be processed daily |
No information available | |
Investment Data Update Frequency How often investment pricing and position data is refreshed |
No information available |
Debt Portfolio Tracking Comprehensive tracking of all debt instruments and facilities |
Debt portfolio tracking is a standard feature for treasury and finance users. | |
Covenant Compliance Monitoring Automated tracking of financial covenants and early warning system |
Covenant compliance monitoring cited as part of debt management module. | |
Debt Maturity Profile Visual representation of debt maturities across time periods |
Debt maturity schedule visualizations provided in debt module dashboards. | |
Interest Accrual Calculation Automated calculation of interest accruals for accounting |
Interest accrual calculation is provided and documented. | |
Debt Optimization Analysis Tools to analyze refinancing opportunities and optimal capital structure |
Debt optimization analytics available for refinancing strategy. | |
Debt Facility Utilization Tracking Monitoring of usage of revolving credit facilities and other flexible debt |
Utilization tracking for debt facilities is cited as part of the debt dashboard. | |
Amortization Scheduling Tools for creating and managing principal amortization schedules |
Amortization scheduling built into loan/debt management modules. | |
Interest Rate Hedging Analysis Tools to analyze and recommend interest rate hedging strategies |
Interest rate hedging tools and analytics are available. | |
Debt Document Repository Secure storage for loan agreements and related documents |
Central debt document repository is referenced in debt & compliance modules. | |
Weighted Average Cost of Capital Automated calculation of overall cost of capital |
Weighted average cost of capital (WACC) calculation is listed in standard features. | |
Number of Debt Instruments Maximum number of debt instruments that can be managed |
No information available | |
Debt Calculation Precision Decimal places of precision in interest and principal calculations |
No information available | |
Forecast Horizon How far into the future debt service is projected |
No information available |
Customizable Dashboard User-configurable visual dashboard of key treasury metrics |
Kyriba dashboards are user-configurable for metrics and KPIs. | |
Scheduled Report Distribution Automated generation and distribution of reports on schedule |
Scheduled report distribution via email and UI is part of reporting capabilities. | |
Regulatory Reporting Templates Pre-built reports for regulatory compliance |
Regulatory reporting templates provided for audit compliance. | |
Data Visualization Tools Interactive charts and graphs for data analysis |
Interactive visualization tools present in the reporting module. | |
Custom Report Builder Tools for users to create their own report formats |
Custom report builder and ad-hoc reporting supported by platform. | |
Executive Reporting Package Summarized views designed for senior management consumption |
Executive/Senior management reporting dashboard packages available. | |
Audit Trail Reporting Detailed logs of all system actions for compliance and auditing |
Audit trail reporting included for all actions within the system. | |
Predictive Analytics Machine learning tools to predict future treasury trends |
Predictive analytics and forecasting/machine learning features offered. | |
Business Intelligence Integration Connection to external BI tools like Tableau or Power BI |
Native integrations to BI tools like Tableau, Power BI, etc. are advertised. | |
Report Export Formats Number of formats available for exporting reports (PDF, Excel, etc.) |
No information available | |
Historical Data Analysis Range How far back data is available for trend analysis |
No information available | |
Report Generation Speed Time required to generate complex reports |
No information available | |
Number of Standard Reports Pre-built report templates included with the system |
No information available |
Segregation of Duties Configurable controls to enforce separation of critical functions |
Segregation of duties/enforced role separation part of compliance/GRC toolkit. | |
Audit Logging Comprehensive logging of all system actions and changes |
Comprehensive audit logging is a platform compliance standard. | |
Policy Enforcement Automated enforcement of treasury policy rules and limits |
Automated policy enforcement described in documentation for payment, investment, and user actions. | |
Regulatory Reporting Automated generation of reports required by regulators |
Automated regulatory reporting present in audit/compliance modules. | |
KYC/AML Compliance Tools to support Know Your Customer and Anti-Money Laundering compliance |
KYC/AML workflows and screening part of compliance and payment controls. | |
Multi-level Approvals Configurable approval workflows with multiple authorization levels |
Multi-level approval chains are configurable in workflows. | |
Electronic Signatures Legally binding electronic signature capability for approvals |
Electronic/e-signature support for signed approvals part of audit trail. | |
GDPR Compliance Features to support data privacy regulations |
Kyriba is GDPR compliant as publicly declared. | |
SOX Controls Controls to support Sarbanes-Oxley compliance |
SOX (Sarbanes-Oxley) control features and compliance tools available. | |
Role-Based Access Control Granular permission settings based on user roles |
Role-based access control is a key authorization model in Kyriba. | |
Compliance Update Frequency How often regulatory rule sets are updated in the system |
No information available | |
Number of Control Points Number of configurable control checkpoints in workflows |
No information available | |
Audit Log Retention Length of time audit records are maintained |
No information available |
Cloud Deployment Available as a cloud-based SaaS solution |
Cloud/SaaS deployment only is the primary/standard delivery model. | |
On-Premises Deployment Can be installed in customer's own data centers |
No information available | |
Mobile Access Native mobile applications for major platforms |
Mobile access via dedicated apps and browser is noted in feature list. | |
API Extensibility Open APIs for custom integrations and extensions |
API extensibility is a promoted value, enabling custom integrations. | |
Data Encryption End-to-end encryption of sensitive financial data |
Data encryption at rest and in transit is listed as a security/compliance standard. | |
Single Sign-On Support for enterprise SSO solutions like SAML and OAuth |
Single sign-on (SSO) with SAML/OAuth is available and implemented. | |
Disaster Recovery Comprehensive backup and system recovery capabilities |
Disaster recovery/business continuity features presented in solution security documentation. | |
Multi-Entity Support Support for multiple legal entities in a single instance |
Multi-entity support is a core feature for global and complex enterprise structures. | |
Automated Upgrades System updates applied automatically without manual intervention |
Automated upgrades/patches pushed to cloud instances regularly. | |
System Uptime Guaranteed system availability percentage |
No information available | |
System Response Time Average time for system to respond to user actions |
No information available | |
Concurrent User Capacity Maximum number of simultaneous active users |
No information available | |
API Request Limit Maximum number of API calls allowed per minute |
No information available | |
Data Storage Capacity Total storage available for transaction data and documents |
No information available |
24/7 Support Around-the-clock technical support availability |
Kyriba advertises 24/7 customer support as a standard offering. | |
Implementation Services Professional services for system setup and configuration |
Implementation/launch support included in Kyriba’s global services offering. | |
Training Programs Formal training curriculum for system users |
Formal training for users/administrators included in onboarding. | |
Customer Success Manager Dedicated account manager for ongoing relationship |
Each client assigned a customer success manager according to service documentation. | |
User Community Active community of users for knowledge sharing |
Kyriba user community and peer resources accessible via knowledge portal. | |
Knowledge Base Comprehensive self-service documentation and tutorials |
Comprehensive online knowledge base and support documentation available. | |
Service Level Agreement Contractual guarantees for system performance and support |
Formal SLA for support, uptime and response is listed in contract. | |
Regular Enhancement Releases Scheduled release of new features and improvements |
Regular, scheduled enhancement and updates are part of SaaS service. | |
Custom Development Services Availability of custom feature development services |
Custom development and integration services are available via consulting. | |
Implementation Time Average time required for full system implementation |
No information available | |
Support Response Time Guaranteed maximum time for initial response to support tickets |
No information available | |
Training Hours Included Amount of training included in standard package |
No information available | |
Number of Support Channels Different methods available for contacting support (phone, email, chat, etc.) |
No information available |
Platforms that centralize the administration of corporate bank accounts, signatories, and mandate management across multiple financial institutions and jurisdictions.
More Bank Account Management Systems
More Cash Management ...
Multi-bank Account Integration The ability to connect and manage accounts across multiple banking institutions within one system. |
Kyriba publicly advertises connectivity to thousands of banking institutions in a unified platform, indicating strong multi-bank integration. | |
Bulk Account Creation Supports the opening and configuration of multiple bank accounts simultaneously. |
Bulk account creation and onboarding are included in Kyriba's Bank Account Management product features. | |
Account Data Validation Automated validation of account information to prevent errors and duplicates. |
Automated data validation is part of Kyriba’s audit and compliance controls for account management. | |
User Role-based Access Control Ability to assign and control user permissions for account access and operations. |
Kyriba supports user roles and extensive permissioning as part of access control protocols. | |
Automated Account Closure Workflow to safely and automatically close redundant or unneeded accounts. |
Automated account closure often cited in BAM (Bank Account Management), including workflow for closure/deactivation. | |
Audit Trail for Changes Maintains a complete history of all changes made to account details. |
Audit trail for bank account changes is a compliance highlight in Kyriba's documentation. | |
Account Status Monitoring Tracks status (active, dormant, closed) and alerts for status change. |
Account status (active/dormant/closed) tracking is detailed under Kyriba’s BAM reporting. | |
Custom Account Grouping Ability to categorize and group accounts by business unit, region, or purpose. |
Account grouping by entity, region, business line is supported as per Kyriba solution sheets. | |
Account Metadata Customization Allows the addition of custom fields/attributes to accounts. |
Custom fields/metadata can be added to bank accounts for categorization as described in product briefs. | |
Automated Signatory Management Tracks and manages authorized account signatories, automating updates. |
Signatory management and signatory workflow are central features of Kyriba BAM. | |
Account Hierarchy Visualization Visual representation of account relationships and organizational structures. |
Account hierarchy and visualization across entities are included as visualization/organizational mapping tools. | |
Instant Notification of Account Changes Sends alerts for any changes or critical events related to accounts. |
Notifications for key account events and changes can be configured for instant visibility. |
Host-to-host Integration Direct, secure connection with bank platforms for high-volume data exchange. |
Kyriba offers host-to-host direct file exchange and connectivity. | |
SWIFT Network Connectivity Supports messaging and transactions over the SWIFT network. |
SWIFT connectivity is a core component for global payment and data exchange in Kyriba. | |
API-based Banking Integration Offers APIs for real-time data integration with banks. |
Open APIs for real-time banking integration are highlighted on Kyriba’s developer and integration resource pages. | |
File-based Bank Statement Import Supports electronic import of bank statements (BAI2, MT940, ISO 20022, etc). |
File-based import supporting MT940, BAI2, CAMT.053 and other formats is supported by Kyriba’s bank statement engine. | |
Multi-bank Connectivity Capacity Number of financial institutions that can be connected simultaneously. |
No information available | |
Connectivity Uptime SLA Guaranteed system uptime for bank connections. |
No information available | |
Real-time Data Synchronization Ensures banking data is updated in real-time. |
Real-time data synchronization is possible through APIs and bank feeds, per Kyriba documentation. | |
Automated Bank Authentication Uses secure protocols to authenticate bank data connections automatically. |
Automated authentication protocols, including OAuth and secure certificates, are referenced in integration documentation. | |
Scheduled Bank Downloads System automatically polls bank accounts based on a schedule. |
Bank data can be scheduled for download/poll in Kyriba as part of account information update process. | |
Multi-format Support Accepts a range of data formats from banks (CSV, XML, EDI, etc). |
Multiple file/data formats supported for external bank data ingestion. |
Real-time Balance Display Shows up-to-the-minute account balances. |
Up-to-the-minute visibility on balances is a promoted benefit for group cash visibility. | |
Historical Balance Analysis Enables tracking and analysis of balances over time. |
Historical analysis and trend reports are a part of Kyriba’s reporting feature set. | |
Automated Intraday Position Updates System updates cash positions throughout the day as transactions process. |
Intraday updates for cash position monitoring are shown on Kyriba solution pages. | |
Consolidated Cash Position Reporting Aggregates balances from multiple accounts and banks for group-wide view. |
Consolidated reporting for multi-bank, multi-entity balances supports this feature. | |
Currency Breakdown Displays cash positions by individual currency. |
Display of cash positions by currency is a standard dashboard view. | |
Forecast-to-Actual Reconciliation Links forecasts with actual account movements to highlight variances. |
Linking forecasts to actual movements, with variances, is a key function of Kyriba's forecasting modules. | |
Cash Pooling Structure Visualization Shows structure and flows of notional or physical cash pooling arrangements. |
Visualization of notional and physical pooling structures is available in cash management visuals. | |
Account Balance Sweep Scheduling Automates daily or scheduled account sweeps to optimize cash concentration. |
Sweeping and automated scheduling functions are included in pooled structure management. | |
Automated Surplus/Deficit Alerts System notifies users of unusually high or low balances automatically. |
Balance thresholds and anomaly alerts can be configured for surplus/deficit warnings. | |
Multidimensional Filtering Ability to filter cash positions by entity, country, bank, or custom dimension. |
Filtering by business unit, entity, location, etc., is a search/pivot option in reports and dashboards. | |
Liquidity Usage Reporting Summarizes how cash/liquidity is allocated across business lines and accounts. |
Liquidity usage summarized by business area is part of Kyriba’s analytics. |
Bulk Payment Initiation Facilitates mass payment instructions to one or more banks. |
Bulk/mass payment initiation is a headline use case (payment factory) for Kyriba. | |
Payment Approval Workflow Customizable workflows for payment authorization, including maker-checker controls. |
Payment approval workflow, including maker-checker, is demonstrated in Kyriba solution brochures. | |
Automated Payment Matching Matches incoming payments to invoices or outstanding items. |
Automatic matching of payments with invoices and open items is covered under Receivables Automation. | |
Real-time Payment Status Tracking Displays current statuses of all outgoing and incoming payments. |
Tracking and real-time status information of payments are provided for traceability. | |
Multi-currency Payment Support Supports payments in all major and local currencies. |
Multi-currency payments are core to Kyriba’s global reach. | |
Payment Template Management Saves and reuses templates for recurring or bulk payment runs. |
Templates for recurring/bulk payments are managed in the platform. | |
Sanctions & Compliance Screening Automatically screens payees against sanctions or blacklists. |
Sanctions and blacklist screening (OFAC, etc.) are promoted compliance features. | |
Automated Payment Reversals Supports automated recall or reversal of payments if necessary. |
Payment recall and reversal automation are referenced in bank connectivity documentation. | |
SEPA/ACH/SWIFT Payment Support Supports major payment rails and formats specific to geography. |
Supports SEPA, SWIFT, ACH, and other domestic/international rails natively. | |
Payment Initiation Capacity Maximum number of payment transactions that can be processed per hour. |
No information available |
Automated Bank Statement Import System supports scheduled import of electronic bank statements. |
Automatic scheduled download/import of bank statements is part of payment/reconciliation processes. | |
Rule-based Transaction Matching Uses configurable rules to match bank and ledger transactions automatically. |
Rule-based automatic matching is part of the core reconciliation engine. | |
Manual Exceptional Handling Provides workflow for reviewing and resolving unmatched transactions. |
Manual exception handling workflow available in reconciliation for investigation. | |
Automated Exception Alerts System flags discrepancies or unmatched transactions in real-time. |
Automated alerts for reconciliation exceptions are part of control features. | |
Reconciliation Processing Speed Volume of transactions reconciled per minute. |
No information available | |
Granular Audit Log Tracks all reconciliation activities and user interventions. |
Granular audit logs for reconciliation activities are available for compliance. | |
Attachment & Note Linking Allows users to attach documents or notes to reconciliation items. |
Support for linking attachments/notes to reconciliation items is mentioned in user documentation. | |
Reconciliation Dashboard Visual dashboard of reconciliation status and outstanding breaks. |
Dedicated dashboards tracking reconciliation status are a UI/UX strength of Kyriba. | |
Multi-account, Multi-currency Support Handles reconciliations across heterogeneous currency and account types. |
Multi-account and multi-currency reconciliation supported for global enterprise. | |
Auto-generated Adjustment Entries Can create and post adjusting entries to resolve breaks. |
Automatic adjustments for reconciling breaks can be set in system configuration. |
Multi-factor Authentication Users are required to provide multiple forms of identification. |
Multi-factor authentication is included in platform security specifications. | |
Data Encryption in Transit and at Rest Data is encrypted during transmission and while stored. |
Kyriba provides in-transit and at-rest encryption for all sensitive data. | |
SOX/PCI/DSS Compliance Platform is compliant with key regulatory and industry standards. |
Platform is certified for SOX, PCI DSS, and other regulatory requirements as shown in compliance documentation. | |
Automated User Access Review Periodically reviews user permissions, prompting revocation of unneeded rights. |
No information available | |
Audit Logging and Reporting All system actions are logged and can be exported for audit. |
Audit logging and export are mentioned as part of compliance and reporting functions. | |
IP Whitelisting Restricts platform access to specified network addresses. |
IP Whitelisting is referenced in Kyriba’s security best practices. | |
Granular Permission Levels Enables detailed, hierarchical access permissions. |
Permission levels and detailed security controls are documented. | |
Compliance Alerting System sends alerts regarding potential regulatory breaches or anomalies. |
Compliance and anomaly alerts can be configured in the platform. | |
Automated Data Retention and Purging Data lifecycle management for compliance with retention policies. |
Automated data retention and purging processes are provided to support compliance. | |
Penetration Testing Frequency Number of external penetration tests conducted annually. |
No information available |
Customizable Dashboard Configurable, visual display of key cash and account metrics. |
Dashboards are configurable by end users for metrics and KPIs. | |
Ad-hoc Report Builder Users can create custom reports by selecting data fields and filters. |
Ad-hoc reporting and custom report builders are included in analytics modules. | |
Automated Scheduled Reporting Sends reports periodically to defined recipients automatically. |
Scheduled, automated report distribution described in user guides. | |
Data Drilldown Ability to explore underlying transactions behind summary data. |
Transaction drilldown from summary to detail supported in reporting UI. | |
Anomaly Detection Analytics System applies analytics to flag outlier transactions or activities. |
Anomaly analytics are offered for cash flow, outlier detection, and fraud prevention. | |
Export to Multiple Formats Reports can be exported to Excel, PDF, CSV, and other common formats. |
Standard and custom reports exportable to Excel, PDF, CSV, etc. | |
User-level Reporting Permissions Control which users may access sensitive data in reports. |
User-based access controls for reporting documented in security guides. | |
Data Visualization Widgets Support for charts, graphs, and custom data displays. |
Visualizations including customizable widgets and graphs are available. | |
Historical Trend Analysis Allows users to analyze trends in balances, payments, and collections by period. |
Trend analysis charts by period are part of the reporting toolkit. | |
Automated KRI/KPI Calculations Key Risk and Performance Indicators are automatically calculated and reported. |
KPI/KRI dashboards and automated calculations are referenced in product brochures. |
ERP/TMS System Integration Supports seamless data exchange with ERPs or Treasury Management Systems. |
Integration with ERPs (SAP, Oracle, Microsoft Dynamics, etc.) and TMSs is a major Kyriba capability. | |
Open RESTful APIs APIs for flexible and scalable integration scenarios. |
RESTful APIs for flexible integration described on developer portal. | |
Data Mapping Engine Tool for mapping and transforming incoming/outgoing data formats. |
Data mapping and transformation tools included in integration package. | |
Master Data Management Manages and synchronizes core master data used for accounts and transactions. |
Centralized master data management for banks, accounts, and counterparties available in platform. | |
Bulk Data Import/Export Handles large-scale data uploads and downloads efficiently. |
Bulk upload/download tools referenced in data and migration documentation. | |
Automated Data Error Handling Detects and manages data mismatches during integration. |
Automated error handling and flagging for failed/mismatched integrations. | |
Integration Latency Average time lag for data sync between systems. |
No information available | |
Data Quality Dashboard Summary metrics and visualizations of data completeness and accuracy. |
Data quality dashboards monitor interface and data completeness. | |
Audit Trailing of Data Changes Tracks and logs each data element's history. |
Audit trails on all data changes available for compliance and regulatory review. | |
Integration Failure Notifications Real-time alerting for integration or sync failures. |
Integration/sync failure alerts can be configured for admin/IT response. |
Cloud/Web-based Access Platform is accessible securely from anywhere via the internet. |
Cloud SaaS model, accessible globally, is the core Kyriba platform design. | |
Mobile Device Support System is usable via mobile devices and tablets. |
Mobile application and responsive web access are marketed as key accessibility feature. | |
Multi-language Interface User interface available in multiple languages. |
Multi-language user interface support included for global clients. | |
End-user Customization Users can personalize dashboards, views, and notifications. |
Dashboards and notifications can be personalized at user level. | |
Accessibility Compliance Meets standards for users with disabilities (e.g., WCAG). |
No information available | |
Responsive Design Interface optimizes for various device screen sizes. |
Responsive design for tablet, desktop, and mobile views is part of Kyriba’s UX standards. | |
Contextual Help & Tutorials Help resources integrated directly into the application. |
Integrated help, documentation, and tutorial features are embedded in workflow. | |
Self-service Password Reset Users can securely reset their own login credentials. |
Self-service password reset is available from the login interface. | |
Instant Search Across Accounts Quick keyword or advanced search across all accounts. |
Powerful global search across accounts and transactions advertised in product guides. | |
Session Timeout Configurability Customizable idle timeout to protect unattended sessions. |
Session timeout and security policies configurable for compliance requirements. |
Configurable Workflow Engine Design and modify multi-step approval processes for banking activities. |
Configurable workflow engine for approvals, account changes, and payments. | |
Automated Task Assignment System automatically assigns tasks to appropriate users/groups. |
Automated assignment of tasks in workflows, such as approvals, is referenced in solution demos. | |
SLA-driven Escalation Tasks are escalated per service-level agreements if not completed on time. |
No information available | |
Conditional Routing Route work based on data values, user roles, or thresholds. |
Conditional routing in processes based on rules, user roles, and data values. | |
Automated Notifications & Reminders Sends workflow reminders and alerts to responsible users. |
Automated notification and reminder system available for all workflow tasks. | |
Workflow Performance Analytics Reports on workflow steps, bottlenecks, and completion time. |
Workflow performance analytics dashboards available for process monitoring. | |
Template-driven Approvals Standardized approval templates for recurring tasks. |
Standardized approval workflow templates are provided for common processes. | |
Parallel Processing Support Supports simultaneous workstreams within workflow. |
Workflows in Kyriba support concurrent/parallel steps. | |
Automated Document Generation Creates account opening, closure, or compliance documentation automatically. |
Automated document generation described for account documentation and compliance forms. | |
Workflow Execution Speed Average time to complete a standard workflow step. |
No information available |
24/7 Customer Support Vendor provides round-the-clock access to technical and functional support. |
24/7 technical support availability referenced as part of Kyriba customer service. | |
Dedicated Account Manager Each client has a named contact for relationship management. |
Each enterprise client receives a dedicated account manager. | |
Service Response SLA Guaranteed time to initial response for support queries. |
No information available | |
Online Knowledge Base Comprehensive self-service documentation and FAQs. |
Comprehensive online documentation portal and self-service knowledge base available on Kyriba.com. | |
Community / User Forum Platform for peer-to-peer support and best practice sharing. |
User community forums and events referenced in customer programs. | |
Automated System Health Monitoring System runs automated diagnostics and sends operational alerts. |
System health monitoring with diagnostics/alerting is built into Kyriba’s support infrastructure. | |
Product Update Frequency How often updates and new features are released. |
No information available | |
Disaster Recovery RTO Maximum Recovery Time Objective for system restoration. |
undefined
Disaster recovery and business continuity commitments published in documentation; RTO referenced in security papers. | |
Uptime/Downtime Dashboard Live status information on platform availability. |
Live status dashboards for uptime and service health are offered. | |
Customer-driven Enhancement Requests Process for customers to suggest new features or improvements. |
Customer enhancement request process available through Kyriba client portal. |
Tools that produce regulatory and management reports from treasury data, including cash positions, risk exposures, and debt portfolio analytics.
More Financial Reporting Generators
More Treasury Accounting ...
Sorry, no analysis is avaiable for Financial Reporting Generators
Applications that maintain comprehensive logs of all treasury activities, supporting internal controls and external audit requirements.
More Audit Trail Systems
More Treasury Accounting ...
Sorry, no analysis is avaiable for Audit Trail Systems
High-performance computing equipment configured specifically for treasury professionals, often featuring multiple monitors and enhanced security features.
More Treasury Workstations
More Treasury Technology ...
Real-time cash visibility Ability to view current cash positions across all bank accounts and entities in real-time |
. | No information available |
Cash forecasting Tools to project future cash flows and positions based on historical data and expected transactions |
. | No information available |
Automated bank reconciliation Automatic matching of bank statements with internal records to identify discrepancies |
. | No information available |
Multi-bank connectivity Direct integration with multiple banking partners for automated data exchange |
. | No information available |
In-house banking capability Functionality to operate internal bank-like services for subsidiaries and business units |
. | No information available |
Notional pooling support Ability to manage notional cash pooling structures across accounts |
. | No information available |
Physical cash pooling Support for physical movement of funds between accounts for centralized liquidity management |
. | No information available |
Bank fee analysis Tools to analyze and optimize banking fees across multiple providers |
. | No information available |
Cash concentration automated workflows Automated processes for moving funds between accounts based on predefined rules |
. | No information available |
Idle cash identification Automated identification of excess cash that could be better deployed |
. | No information available |
Intraday liquidity monitoring Ability to track cash positions throughout the day, not just end-of-day balances |
. | No information available |
Cash tagging/categorization Capability to tag and categorize cash flows for better analysis and reporting |
. | No information available |
FX exposure management Tools to identify, measure, and manage foreign exchange exposures |
. | No information available |
Interest rate risk management Functionality to analyze and manage exposure to interest rate fluctuations |
. | No information available |
Commodity risk management Tools to manage exposure to commodity price fluctuations |
. | No information available |
Credit risk assessment Capability to evaluate and monitor counterparty credit risks |
. | No information available |
Scenario analysis Tools to simulate different market scenarios and their impact on financial positions |
. | No information available |
Value-at-Risk (VaR) calculation Ability to calculate potential loss in value of portfolios over a defined period |
. | No information available |
Stress testing capabilities Tools to assess the impact of extreme but plausible scenarios on financial positions |
. | No information available |
Monte Carlo simulation Advanced statistical modeling technique for risk assessment |
. | No information available |
Hedging effectiveness testing Tools to assess and document the effectiveness of hedging strategies |
. | No information available |
Hedge accounting support Functionality to facilitate compliance with hedge accounting requirements |
. | No information available |
Risk limit monitoring Automated monitoring of exposures against defined risk limits with alerts |
. | No information available |
Risk reporting frequency How frequently the system can generate and update risk reports |
. | No information available |
Payment initiation Ability to create and initiate various types of payment transactions |
. | No information available |
Payment approval workflows Configurable approval processes for different payment types and amounts |
. | No information available |
Payment tracking Capability to monitor the status of payments through the entire lifecycle |
. | No information available |
Payment format support Number of supported payment file formats (ISO 20022, SWIFT, etc.) |
. | No information available |
Sanction screening integration Built-in or integrated tools to screen payments against sanctions lists |
. | No information available |
Payment fraud detection Automated tools to identify potentially fraudulent payment activities |
. | No information available |
Bulk payment processing Ability to process multiple payments in batches efficiently |
. | No information available |
Real-time payment capability Support for instant or real-time payment networks and protocols |
. | No information available |
Payment repair functionality Tools to correct errors in payment instructions before processing |
. | No information available |
Payment reconciliation Automated matching of payment instructions with confirmations and statements |
. | No information available |
Maximum payment volume The maximum number of payments the system can process per day |
. | No information available |
Payment scheduling Ability to schedule future-dated payments and recurring payment series |
. | No information available |
Debt instrument management Tools to manage loans, bonds, and other debt instruments |
. | No information available |
Investment portfolio management Functionality to track and manage investment portfolios |
. | No information available |
Derivative instrument support Capability to manage derivative financial instruments |
. | No information available |
Number of supported instrument types Total number of different financial instrument types supported by the system |
. | No information available |
Mark-to-market valuation Automated market-based valuation of financial instruments |
. | No information available |
Custom instrument modeling Ability to create and model custom financial instruments |
. | No information available |
Instrument lifecycle management Tools to manage instruments through their entire lifecycle from inception to maturity |
. | No information available |
Covenant compliance tracking Functionality to monitor and ensure compliance with debt covenants |
. | No information available |
Money market fund integration Direct connectivity with money market funds for investment management |
. | No information available |
Collateral management Tools to track and manage collateral requirements for various instruments |
. | No information available |
Market data integration Connectivity with market data providers for pricing and rates |
. | No information available |
Yield calculation capabilities Advanced functionality for calculating yields on various instruments |
. | No information available |
IFRS compliance Support for International Financial Reporting Standards requirements |
. | No information available |
GAAP compliance Support for Generally Accepted Accounting Principles requirements |
. | No information available |
EMIR reporting Support for European Market Infrastructure Regulation reporting requirements |
. | No information available |
Dodd-Frank compliance Tools to support compliance with Dodd-Frank Act requirements |
. | No information available |
FBAR reporting Support for Foreign Bank Account Reporting requirements |
. | No information available |
Regulatory update frequency How frequently the system is updated to reflect regulatory changes |
. | No information available |
Jurisdictional coverage Number of regulatory jurisdictions supported with specific compliance features |
. | No information available |
Audit trail capabilities Comprehensive tracking of all system activities for audit purposes |
. | No information available |
Automated compliance reporting Generation of compliance reports with minimal manual intervention |
. | No information available |
Compliance alert system Automated alerts for potential compliance issues or breaches |
. | No information available |
Compliance documentation Tools to generate and maintain required compliance documentation |
. | No information available |
Regulatory filing integration Direct integration with regulatory filing systems or portals |
. | No information available |
ERP integration Direct connectivity with Enterprise Resource Planning systems |
. | No information available |
Number of pre-built ERP connectors Number of ready-to-use connectors for popular ERP systems |
. | No information available |
SWIFT connectivity Direct integration with the SWIFT network for global payments |
. | No information available |
Banking API support Support for modern banking APIs for real-time data exchange |
. | No information available |
Open API availability Provision of open APIs for custom integrations with other systems |
. | No information available |
Data import/export formats Number of supported formats for importing and exporting data |
. | No information available |
Market data integration Connectivity with market data providers for rates and pricing information |
. | No information available |
Integration middleware support Compatibility with common integration middleware platforms |
. | No information available |
Real-time integration capability Ability to exchange data with other systems in real-time rather than batch |
. | No information available |
Integration monitoring Tools to monitor the health and performance of system integrations |
. | No information available |
Custom integration development Tools and support for developing custom integrations |
. | No information available |
Integration throughput Maximum volume of transactions that can be processed through integrations |
. | No information available |
Mobile accessibility Availability of mobile applications or responsive web interfaces |
. | No information available |
Dashboard customization Ability for users to customize their dashboards and views |
. | No information available |
Role-based access control Granular access controls based on user roles and responsibilities |
. | No information available |
Multi-language support Number of languages supported in the user interface |
. | No information available |
User interface modernity How modern and intuitive the user interface is compared to industry standards |
. | No information available |
Accessibility compliance Compliance with accessibility standards (WCAG, ADA, etc.) |
. | No information available |
Learning curve steepness How quickly new users can become proficient with the system |
. | No information available |
Self-service reporting Ability for users to create and modify reports without technical assistance |
. | No information available |
Notification system Configurable alerts and notifications for important events |
. | No information available |
Workflow customization Ability to customize business processes and workflows |
. | No information available |
User activity tracking Monitoring and reporting on user activities within the system |
. | No information available |
Concurrent user capacity Maximum number of users that can use the system simultaneously |
. | No information available |
Standard report library Number of pre-built reports available out of the box |
. | No information available |
Custom report builder Tools for creating custom reports without programming |
. | No information available |
Data visualization capabilities Advanced charting and visualization tools for data analysis |
. | No information available |
Report scheduling Ability to schedule automatic generation and distribution of reports |
. | No information available |
Data export options Number of supported formats for exporting report data |
. | No information available |
Drill-down capabilities Ability to navigate from summary data to detailed transactions |
. | No information available |
Historical data retention How long historical data is retained for reporting and analysis |
. | No information available |
Advanced analytics Sophisticated analytical tools beyond basic reporting |
. | No information available |
Predictive analytics AI-driven predictive capabilities for forecasting and analysis |
. | No information available |
Business intelligence integration Integration with third-party business intelligence platforms |
. | No information available |
Real-time reporting Ability to generate reports based on real-time data |
. | No information available |
Report processing speed Time taken to generate complex reports with large datasets |
. | No information available |
Multi-factor authentication Support for multiple authentication factors beyond passwords |
. | No information available |
Data encryption at rest Encryption of stored data to protect sensitive information |
. | No information available |
Data encryption in transit Encryption of data during transmission between systems |
. | No information available |
User activity monitoring Tracking and alerting on suspicious user activities |
. | No information available |
Security certification Compliance with recognized security standards (ISO 27001, SOC 2, etc.) |
. | No information available |
Penetration testing frequency How often the system undergoes security penetration testing |
. | No information available |
Security patch frequency How frequently security updates are applied |
. | No information available |
Data backup frequency How often system data is backed up |
. | No information available |
Disaster recovery capability Comprehensive disaster recovery planning and infrastructure |
. | No information available |
Recovery time objective Target time for system recovery after a disruption |
. | No information available |
IP restriction capability Ability to restrict system access based on IP addresses |
. | No information available |
Single sign-on support Integration with enterprise single sign-on solutions |
. | No information available |
Implementation timeframe Average time required for full system implementation |
. | No information available |
24/7 support availability Availability of round-the-clock technical support |
. | No information available |
Support channels Number of different channels available for obtaining support |
. | No information available |
User training programs Availability of structured training programs for system users |
. | No information available |
User community platform Online community for users to share knowledge and best practices |
. | No information available |
Implementation consultancy Specialized consulting services during implementation |
. | No information available |
Customer success program Structured program to ensure customer objectives are met |
. | No information available |
Service level agreement Formal agreement defining service quality and response times |
. | No information available |
Average support response time Typical time taken to respond to support requests |
. | No information available |
Knowledge base comprehensiveness Extent and quality of self-service knowledge resources |
. | No information available |
Regular user group meetings Organized meetings for users to share experiences and feedback |
. | No information available |
Post-implementation review Structured review process after implementation completion |
. | No information available |
Specialized databases designed to store and organize treasury-related information from multiple sources, enabling comprehensive analysis and reporting.
More Treasury Data Warehouses
More Treasury Technology ...
Multi-source data integration Ability to collect data from various sources including banks, ERPs, trading platforms, and market data providers |
. | No information available |
Real-time data processing Capability to ingest and process data in real-time rather than in batch cycles |
. | No information available |
Historical data retention Length of time historical data is stored and accessible for analysis |
. | No information available |
Data quality controls Built-in validation rules and checks to ensure data accuracy and completeness |
. | No information available |
ETL capabilities Tools for extracting, transforming, and loading data from various sources |
. | No information available |
Data cleansing tools Functionality to identify and correct errors or inconsistencies in data |
. | No information available |
Data processing capacity Volume of financial transactions the system can process daily |
. | No information available |
Data model customization Ability to modify the data structure to meet specific organizational needs |
. | No information available |
Master data management Centralized control of key data entities (counterparties, accounts, etc.) to ensure consistency |
. | No information available |
Data lineage tracking Ability to track the origin and transformations of data throughout its lifecycle |
. | No information available |
Data versioning Capability to maintain different versions of data for audit and comparison purposes |
. | No information available |
Data cataloging Tools to inventory and organize data assets for easy discovery |
. | No information available |
Real-time cash position visibility Ability to view current cash positions across all accounts in real-time |
. | No information available |
Cash forecasting Tools to predict future cash positions based on historical patterns and known transactions |
. | No information available |
Forecasting horizon Maximum time period for which the system can generate reliable cash forecasts |
. | No information available |
Forecasting accuracy tracking Metrics and reports that compare forecasted vs. actual cash positions |
. | No information available |
Multi-currency support Ability to track and forecast cash positions in multiple currencies |
. | No information available |
Number of currencies supported Maximum number of different currencies the system can handle simultaneously |
. | No information available |
Cash pooling analysis Tools to analyze and optimize physical and notional cash pooling structures |
. | No information available |
Intraday liquidity monitoring Ability to track liquidity positions throughout the day, not just end-of-day |
. | No information available |
Bank fee analysis Tools to track, analyze, and optimize banking fees and charges |
. | No information available |
Idle cash identification Functionality to identify excess cash that could be better deployed |
. | No information available |
Cash concentration tools Features to support automated sweeping and concentration of funds |
. | No information available |
Working capital analytics Metrics and analysis tools for optimizing working capital components (DSO, DPO, DIO) |
. | No information available |
FX exposure tracking Ability to monitor and report on foreign exchange exposures |
. | No information available |
Interest rate risk analysis Tools to measure and analyze the impact of interest rate changes |
. | No information available |
Counterparty risk monitoring Functionality to track and manage exposure to financial counterparties |
. | No information available |
Value-at-Risk (VaR) calculation Methods to calculate and report VaR across treasury portfolios |
. | No information available |
VaR methodology options Number of different VaR calculation methodologies available (historical, parametric, Monte Carlo) |
. | No information available |
Stress testing capabilities Tools to model portfolio performance under various stress scenarios |
. | No information available |
Scenario analysis Ability to model the impact of different market scenarios on treasury positions |
. | No information available |
Number of concurrent scenarios Maximum number of different scenarios that can be modeled simultaneously |
. | No information available |
Credit risk assessment Tools to evaluate and monitor credit risk across counterparties |
. | No information available |
Hedge effectiveness testing Functionality to measure and report on the effectiveness of hedging strategies |
. | No information available |
Risk policy compliance monitoring Tools to ensure treasury activities comply with organizational risk policies |
. | No information available |
Liquidity risk metrics Measurements and reporting of liquidity risk across the organization |
. | No information available |
Sensitivity analysis Capability to analyze how changes in key variables affect financial outcomes |
. | No information available |
Standard report library Number of pre-built reports available out-of-the-box |
. | No information available |
Custom report builder Tools allowing users to create their own reports without technical expertise |
. | No information available |
Interactive dashboards Visual interfaces allowing users to explore data dynamically |
. | No information available |
Regulatory reporting templates Pre-built reports meeting common regulatory requirements (e.g., IFRS, FASB) |
. | No information available |
Board-level reporting Specialized reports and visualizations designed for executive and board consumption |
. | No information available |
Advanced analytics capabilities Statistical and predictive modeling tools for treasury data |
. | No information available |
AI/ML forecasting Use of artificial intelligence or machine learning techniques for improved forecasting |
. | No information available |
Report scheduling Ability to schedule automated report generation and distribution |
. | No information available |
Export formats supported Number of different file formats available for exporting reports (PDF, Excel, CSV, etc.) |
. | No information available |
Drill-down capabilities Ability to navigate from summary information to underlying details |
. | No information available |
Historical trend analysis Tools to identify and visualize patterns over time |
. | No information available |
Benchmarking capabilities Functionality to compare performance against internal or external benchmarks |
. | No information available |
Natural language query Ability to query data using conversational language rather than technical syntax |
. | No information available |
ERP integration Pre-built connectors for popular ERP systems (SAP, Oracle, etc.) |
. | No information available |
Number of supported ERPs Number of different ERP systems with native integration support |
. | No information available |
Banking connectivity Direct connections to banking systems for statement retrieval and payment initiation |
. | No information available |
Number of bank connections Maximum number of different bank connections supported |
. | No information available |
Market data integration Connections to providers of market data (FX rates, interest rates, etc.) |
. | No information available |
API availability Comprehensive API for integrating with other systems |
. | No information available |
SWIFT connectivity Direct connection to the SWIFT network for financial messaging |
. | No information available |
Trading platform integration Connections to trading platforms for financial instruments |
. | No information available |
Real-time integration Ability to exchange data with other systems in real-time rather than batch |
. | No information available |
File format support Number of standard file formats supported for data exchange (BAI2, MT940, ISO20022, etc.) |
. | No information available |
Integration monitoring Tools to monitor the health and performance of system integrations |
. | No information available |
Middleware compatibility Ability to work with enterprise integration platforms (MuleSoft, Boomi, etc.) |
. | No information available |
Cloud-based deployment Availability as a cloud-hosted SaaS solution |
. | No information available |
On-premises option Ability to deploy within the organization's own data centers |
. | No information available |
Data encryption Encryption of sensitive data both in transit and at rest |
. | No information available |
Scalability Ability to handle growing data volumes and user bases without performance degradation |
. | No information available |
Maximum users supported Number of concurrent users the system can support without performance issues |
. | No information available |
System availability Uptime guarantee as a percentage |
. | No information available |
Disaster recovery capabilities Features ensuring data protection and business continuity in case of system failure |
. | No information available |
Recovery Time Objective Maximum targeted time to restore system functionality after failure |
. | No information available |
Recovery Point Objective Maximum acceptable data loss measured in time |
. | No information available |
Multi-tenant architecture Design allowing multiple customers to share infrastructure while keeping data separate |
. | No information available |
Performance monitoring Tools to track and report on system performance metrics |
. | No information available |
Database technology Type of database system used (relational, NoSQL, in-memory, etc.) |
. | No information available |
Role-based access control Ability to restrict system access based on user roles |
. | No information available |
Multi-factor authentication Requirement for multiple verification methods to access the system |
. | No information available |
Single sign-on support Integration with enterprise identity management systems |
. | No information available |
Audit trail Comprehensive logging of all user actions within the system |
. | No information available |
Audit history retention Length of time audit records are retained |
. | No information available |
Data privacy controls Features ensuring compliance with data privacy regulations (GDPR, CCPA, etc.) |
. | No information available |
Security certifications Number of industry security certifications held (SOC 2, ISO 27001, etc.) |
. | No information available |
Segregation of duties Controls ensuring no single user can complete sensitive transaction chains |
. | No information available |
Approval workflows Configurable approval processes for different transaction types |
. | No information available |
Penetration testing frequency How often the system undergoes security penetration testing |
. | No information available |
Regulatory compliance frameworks Built-in support for specific regulatory requirements (SOX, FBAR, etc.) |
. | No information available |
Data residency options Ability to specify geographic locations where data must be stored |
. | No information available |
Web-based interface Access through standard web browsers without installing software |
. | No information available |
Mobile app availability Dedicated mobile applications for smartphones and tablets |
. | No information available |
Supported mobile platforms Number of different mobile operating systems supported (iOS, Android, etc.) |
. | No information available |
Interface customization Ability for users to personalize their dashboards and views |
. | No information available |
Multilingual support Availability of the interface in multiple languages |
. | No information available |
Number of supported languages Total number of languages available in the user interface |
. | No information available |
User training resources Built-in help systems, tutorials, and guidance materials |
. | No information available |
Workflow automation Tools to automate repetitive processes and user tasks |
. | No information available |
Notification system Alerts and notifications for important events or required actions |
. | No information available |
User activity monitoring Tools to track user engagement and system usage patterns |
. | No information available |
Accessibility compliance Adherence to accessibility standards (WCAG, Section 508, etc.) |
. | No information available |
Response time Average time for system to respond to user interactions |
. | No information available |
Payment initiation Ability to initiate payments directly from the system |
. | No information available |
Payment formats supported Number of different payment format standards supported |
. | No information available |
Payment approval workflows Configurable processes for reviewing and approving payments |
. | No information available |
Bank account management Tools for tracking and managing all bank accounts across the organization |
. | No information available |
Bank account capacity Maximum number of bank accounts that can be managed in the system |
. | No information available |
Transaction matching Automated reconciliation of transactions across different systems |
. | No information available |
Match rate percentage Typical percentage of transactions that can be automatically matched |
. | No information available |
Instrument coverage Types of financial instruments supported (loans, deposits, FX, derivatives, etc.) |
. | No information available |
Number of instrument types Total number of different financial instrument types supported |
. | No information available |
Settlement tracking Tools to monitor the status of transaction settlements |
. | No information available |
Netting capabilities Functionality to manage intercompany or counterparty netting arrangements |
. | No information available |
Transaction lifecycle management Tools to track transactions from initiation through settlement and accounting |
. | No information available |
24/7 support availability Support services available at all hours, every day |
. | No information available |
Support channels Number of different ways to contact support (phone, email, chat, etc.) |
. | No information available |
Response time guarantee Maximum time to acknowledge and begin addressing support issues |
. | No information available |
Implementation services Vendor-provided assistance with system deployment |
. | No information available |
Implementation timeframe Typical time required to fully implement the system |
. | No information available |
Dedicated account manager Assignment of a specific contact person for account management |
. | No information available |
User community Forums or networks for system users to share knowledge |
. | No information available |
Training options Number of different training delivery methods available (in-person, virtual, self-paced) |
. | No information available |
Professional services Availability of specialized consulting services beyond basic support |
. | No information available |
Release frequency How often new versions or updates are released |
. | No information available |
Upgrade assistance Support provided for system upgrades and migrations |
. | No information available |
Service level agreement Formal commitment to specific service and performance levels |
. | No information available |
Systems that document, distribute, and track attestation to treasury policies and procedures, ensuring consistent application across the organization.
More Policy Management Platforms
More Treasury Compliance ...
Sorry, no analysis is avaiable for Policy Management Platforms
Software that manages cash flows, liquidity, and banking relationships to ensure sufficient funds for benefit payments and investment activities while optimizing cash utilization.
More Treasury Management Systems
More Financial Operations ...
Sorry, no analysis is avaiable for Treasury Management Systems
This data was generated by an AI system. Please check
with the supplier. While you are talking to them, remind them that they need
to update their entry.