What is Kyriba and how does it work?
Kyriba helps enterprises activate and safeguard company-related liquidity in the best possible ways. An active liquidity network within the solution, helps business houses enhance their financial capability by generating sync between business-relevant data and applications. It unifies risk management, treasury, working capital and payment applications with external partners like market-based data providers, trading platforms, third party applications and banks. The data stored within Kyriba are absolutely secure against frauds and cybercrimes, via SOC1, 2 and Type II certifications. It is also in compliance with CSA CAIQ criteria and ISO 27001 standards. The BI enabled software converts its user’s data into actionable insights through reciprocal dashboards and self-service reporting modules. A drag and drop functionality within the software enables teams to alternate variables on the go. Further, layered scenarios within Kyriba enables enterprises to opt for on-demand target analysis as well. The software is capable of committing to the best industry-wise RPO/RTO and uptime metrics.
Read moreWhat is SAP Treasury and Risk Management and how does it work?
SAP Treasury and Risk Management is a treasury management software that assists companies to manage treasures, improving their business decisions and efficiency. The software is capable of delivering comprehensive business insights through which users can mitigate financial risks. It also helps users to achieve end-to-end automation and control via advanced processing and intelligent applications. SAP Treasury and Risk Management deliver insights into available cash, return and balance risk besides helping to automate repetitive tasks. Users can connect the software directly with financial institutes and banks over SWIFT technology. It can also be used to quickly understand cash requirements and take necessary actions. SAP Treasury and Risk Management assist companies to create a multiple-banks digital channel between their ERP system and their banks using embedded SWIFT and EBICS connectivity. This feature simplifies treasury operations and increases efficiency, control and transparency across various processes. Furthermore, the software also simplifies users’ approach to SAP Market Rates Management.
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What is DocFinance and how does it work?
DocFinance, now, is a Fintech HUB able to providers its customers with all benefits of full integration between particular technological services and our company treasury management and commercial credit management software.
What is ATOM Treasury and Risk and how does it work?
ATOM Treasury and Risk is an integrated enterprise treasury management system (TMS) for corporations and financial institutions that automates core treasury processes including cash management, banking, forecasting, liquidity management, investments, funding, hedging, risk management, and financial reporting. ATOM Treasury and Risk provides corporate treasury organizations with the benefits of an integrated treasury management system: automation, integrated processing, instant visibility, proactive risk management, automated analyses and the promotion of best practices and regulatory compliance throughout the enterprise.
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What is Fusion Treasury and how does it work?
Fusion Treasury makes the most of existing technology while deploying flexible tools that meet changing market and regulatory demands. With an expanded role in a fast-evolving market, the treasury needs better tools. Proven in treasury management for over 30+ years, Fusion Treasury leverages our tried and tested solutions, Fusion Opics and Fusion Kondor. The result is greater strategic planning, control, and execution in a single, integrated solution. Treasurers are positioned to make better decisions, communicate efficiently, and lead confidently.
Read moreWhat is AccessPay Platform and how does it work?
Real-time analytics, intra-day reporting and liquidity forecasting tools give you the insight you need across your entire cash portfolio so you can manage your cash and plan for expenditure, debt repayment and investment opportunities. Automated treasury management features, as well as payment and other tools give you complete visibility of your cash management features, all with a single click.
Read moreWhat is TruX and how does it work?
TruX software is a platform used to manage your finances and optimize your Cash Flow. A secure solution to manage your business transactions to optimize your business. Small and Medium companies make use of the software.
SW Score Breakdown
What is Finvisage and how does it work?
Finvisage holds expertise in cloud treasury and finance solutions, delivering decision-making capabilities for cash and risk management. Translate actuals and forecasts into functional currency and automate Cumulative Transaction Adjustments (CTA). Unify operational goals with financial performance on the capital plan by enabling smooth communication across departments, mitigating conflict of interest. Apply one-time revenue recognition rules and credit term rules to streamline the sales ledger. Use intuitive dashboards to visualize key matrices such as contribution per unit, operating expense ratios across business units, etc.
Read more81% SW Score The SW Score ranks the products within a particular category on a variety of parameters, to provide a definite ranking system. Read more
What is StreamLoan and how does it work?
StreamLoan is a B2B SaaS solution that is reinventing the residential real estate purchase and financing process. Use real-time chat and notifications to work with all parties to keep every conversation in a single centralized location, with access to all relevant parties. Consolidate and streamline lead management this includes your digital leads purchased, your referrals from home builders or real estate agents, or from other digital channels. They encrypt your data at rest and in-flight with AES-256 bit bank-level security, AICPA secure & CFPB compliant.
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What is Coupa Treasury and Cash Management and how does it work?
Coupa Treasury and Cash Management offers businesses a powerful suite of tools to gain real-time visibility into their financial landscape. Whether operating internationally or seeking clarity in cash positions, this platform helps professionals quickly and easily act on cash insights. By managing short- and long-term instruments, users can make smarter cash flow forecasting decisions and save big with intercompany invoice netting. The convenience of in-house banking is further enhanced with features that allow them to identify and mitigate financial risks, simplify payment management, and ensure compliance and fraud prevention. Additionally, Coupa enables financial professionals to analyze and share meaningful data efficiently, all while joining the Global SWIFT Network for seamless transactions. Presented as a supportive partner, Coupa Treasury simplifies complex financial tasks and empowers businesses to focus on growth, making it an essential ally in today's dynamic economic environment.
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What is HighRadius Treasury and Risk and how does it work?
HighRadius Treasury and Risk Management platform is transforming how businesses manage their financial operations. With seamless bank connectivity, users can effortlessly monitor bank balances and achieve precise daily cash positioning, eliminating guesswork. The platform excels in cash reconciliation, enabling efficient debt and investment management, as well as intercompany management across various accounts. Advanced AI capabilities drive AR and AP forecasts, offering precise, data-driven insights. ML-powered category forecasts provide a detailed understanding of financial trends, while LiveCube for cash forecasting delivers real-time updates tailored to your business needs. Users can conduct thorough scenario and variance analyses, gaining comprehensive control over cash flow and investment strategies. With powerful bank and ERP connectivity, HighRadius is an essential partner for professionals seeking an intuitive and comprehensive approach to treasury and risk management.
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What is Modern Treasury and how does it work?
Modern Treasury's One Platform seamlessly integrates three robust products driven by the RISE Engine, offering a comprehensive Treasury Management System that transforms financial operations. This innovative platform delivers real-time intelligence, effectively connecting banks, payment processors, systems of record, and internal systems. By harnessing real-time data, it enhances workflows and improves cash management through AI suggestions and exception handling. Structured around a semantic understanding of financial transactions, it empowers businesses with resilient integrations and modern developer tools. The platform ensures data accessibility and scalability by integrating information into the cloud, while secure payments are facilitated through easily configured approval flows, roles, and permissions. It supports full SCIM and SSO compatibility, ensuring a streamlined user experience. Complete, immutable audit trails maintain the integrity of financial operations, while custom roles and permissions offer flexibility and security. Invoicing and cash management become efficient, allowing users to focus on core business activities. Modern Treasury is a supportive partner, providing tools that simplify complex tasks, making financial workflow management easy and effective.
Read moreWhat is Nomentia and how does it work?
Nomentia stands out in the realm of cash and treasury management by offering a robust suite of solutions, including payment, cash, treasury, and risk management. Their platform serves as a comprehensive payment hub, designed to automate, manage, and centralize local, cross-border, and global payments. With seamless integration capabilities, Nomentia connects ERPs, financial systems, and banks to streamline all payment processes. Features such as bank account management, bank fee analysis, cash flow forecasting, and loan management are at the core of their offering. Additionally, the platform supports guarantee management, treasury reporting, and efficient treasury workflows, all within a secure Treasury Management System. Security is paramount, and Nomentia upholds rigorous standards, being ISMS ISO/IEC, ISAE 3402, SWIFT CSP, and FSQS-NL certified. Their commitment to obtaining more certifications underscores their dedication to trustworthiness and operational security. With Nomentia, businesses can efficiently manage their financial operations while maintaining a focus on growth and innovation.
Read moreWhat is Trovata and how does it work?
Trovata helps businesses automate the work it takes to gather and normalize all of their financial data. This includes data from banks, business and accounting systems, and external markets. Trovata lets finance and treasury teams access, build, manage, and control their own data trove. It help CFOs answer simple questions that would otherwise take hours or days to answer. Trovata drives efficiencies through transparent visualization, workflow automation, and machine learning. This can transform financial operating performance.
Read moreWhat is Embat and how does it work?
Embat, companies can streamline and enhance their treasury management practices with remarkable efficiency. With real-time bank connectivity, businesses gain immediate access to essential financial data, enabling them to make informed decisions swiftly. Comprehensive cash flow forecasting empowers organizations to anticipate and plan for financial needs across short-, medium, and long-term horizons. Automated accounting and reconciliation processes minimize errors and reduce manual workload, while banking pool management and payments centralization simplify financial operations by consolidating them into a single platform. Visualizing and automating cash flows, reports, and forecasts ensures that companies stay ahead in liquidity management. Furthermore, the integration of generative artificial intelligence automates over 90% of treasury accounting entries, ensuring accuracy and up-to-date accounts. By systematizing reporting and treasury indicators, businesses can accelerate decision-making and minimize preparation time. Embat acts as a steadfast partner, simplifying complex tasks and allowing organizations to focus on strategic growth and expansion.
Read moreWhat is Panax and how does it work?
Panax presents a groundbreaking Treasury Management System that revolutionizes how companies handle their cash flow with unmatched efficiency and precision. Leveraging AI-driven automation and real-time reporting, Panax enhances treasury operations, empowering businesses to manage cash flow and optimize liquidity across various accounts, currencies, and regions. The platform offers a unified view of all financial institutions, eliminating blind spots and costly data gaps. Through automated ERP matching and intelligent categorization, businesses can create tailored cash subcategories, gaining comprehensive visibility into cash by entity, currency, and account. Proactive insights keep companies ahead, enabling swift, informed decision-making. Panax enhances ROI on excess cash by 15-20% and reduces fees and interest payments. Its intuitive platform streamlines complex tasks, enabling businesses to harness AI for customized cash forecasts. With Panax, achieve seamless cash management and stay updated with automated reporting, all while concentrating on growth and strategic decisions.
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