Here's our list of apps for Treasury Software. Filters help you narrow down the results to find exactly what you’re looking for.

15 apps
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GTreasury

(0)
Fully integrated cash & risk management solution
Single solution for treasury and risk, including cash management, payments, accounting, banking, financial instruments, risk analysis and hedge accounting Read more about GTreasury
Accounts receivable and order-to-cash software
Cforia.autonomy is an accounts receivable and order-to-cash software designed to help businesses consolidate data across billing, invoicing, order management, payment processing, and other operations. Administrators can create custom reports using pre-packaged templates. Read more about Cforia.autonomy
Treasury software for non-financial and accounting firms
ZenTreasury is a cloud-based treasury management software designed to help businesses manage cash flow, payments, financial risk, and customer engagement. It enables employees to import foreign exchange transactions data from various electronic trading platforms including FXall, 360T, and more. Read more about ZenTreasury
Platform for connecting businesses with banks
Corporate-to-Bank Integration Platform is a financial management software designed to help businesses integrate with banks to streamline finance operations. Treasury teams can access multiple back-office systems, payment schemes & other services provided by banking partners from a single platform. Read more about AccessPay Platform
Cloud based cash flow management, forecasting & analysis
ABM Cashflow is a cloud-based cash flow management system for corporate treasury which enables the management of cash flow, payments, budget planning, forecasting, analysis, liquidity management, and more. ABM Cashflow can be used as a standalone solution or integrated with accounting and ERP apps. Read more about ABM Cashflow
Open banking platform for streamlining cash flows
Trovata is a cloud-based open banking platform designed to help businesses manage, forecast, analyze, & automate cash flows. Pre-integrated with banks, the centralized dashboard lets users track balances, transactions, & positioning of cash across accounts & tag by regions, division, or entity. Read more about Trovata
Treasury software for managing cash flow and forecasts
Cashtrack help freelancers and SMEs in the French market manage cash flow, forecasting, and other financial operations. The platform automatically synchronizes bank accounts to capture transaction information and evaluate input data, enabling users to view and analyze turnover forecasts. Read more about Cashtrack
Treasury management for enterprises, CFOs, and treasurers
Kyriba is a treasury management platform that assists finance professionals with risk management, payment processing, cash flow, and liquidity management. Key features include forecasting, transaction monitoring, investment accounting, bank relationship management, netting, and fee analysis. Read more about Kyriba
Treasury software solution for SMBs
CAPIX is a cloud-based treasury & investment software solution which enables SMBs to manage corporate treasury & investment operations effectively & efficiently Read more about CAPIX
Integrated Receivables Solution for AR Departments
HighRadius Treasury leverages the proven RivanaTM Artificial Intelligence (AI) platform to provide the most accurate cash flow forecasts – right from a ledger account level and rolling up to the organizational level. Read more about Integrated Receivables
Financial crime risk management
We are focused on the financial industry, transforming how banks, credit unions and thrifts serve their tech savvy customers. Choose Fiserv as your partner to gain vital, innovative technology expertise in information management products, services, and practices. Our Financial Crime Risk Management solutions reside on a common platform featuring... Read more about FCRM Insurance

BankSense

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Real-time cash treasury and finance decision making
BankSense is a cash flow management and finance decision making solution with real time visibility, cash flow management, analytics, and more Read more about BankSense

MX.3

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Cloud-based software to manage trading, risk & compliance
MX.3 helps banks, clearing brokers, public agencies and other businesses manage trading, risk, IT costs, treasury, funding, compliance, and more. The platform lets organizations examine pre-trade operations and create and manage custom portfolios using stress analysis and risk metrics in real-time. Read more about MX.3

Monitor

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Treasury management for medium and large businesses
Monitor by Mark2Market is a treasury management software that helps businesses manage financial and cash-flow processes. It offers integration with ERP systems and facilitates financial and operational performance of businesses through constant monitoring of derivatives and debts. Read more about Monitor

Libeo

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Software for approving and paying supplier invoices
Libeo helps SME businesses, CFOs and accountants save time by centralizing, validating, and paying their supplier invoices in one click, without IBAN, and without using their banking interface. The platform allows users to manage the entire purchasing lifecycle via a unified portal. Read more about Libeo