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Treasury Management (TMS) Software

Treasury Management

About

Treasury management aids automating management of an organization’s financial operations and business obligations. It enables the organization to easily capture and visualize real-time data for liquidity and cash management, cash-flow forecasting, payment reconciliation, and debt management. Automating these processes not only saves the organization time and labor collating and interpreting large amounts of data; it also speeds up payables and reconciliation, avoiding interest rates from late payments, and maximizing the financial outlook for the organization. With greater financial visibility, the organization can improve its decision-making and lessen financial and reputational risk.

Common Features

  • Cash and Liquidity Management
  • Cash Forecasting
  • Content Repository
  • Risk Management
  • Payments
  • Analytics and Reporting
  • Fraud Management
  • In-House Banking
  • Multi-Lateral Netting
  • Debt and Investment Management

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