Best Broadridge Cash Management Alternatives in 2026
Find the top alternatives to Broadridge Cash Management currently available. Compare ratings, reviews, pricing, and features of Broadridge Cash Management alternatives in 2026. Slashdot lists the best Broadridge Cash Management alternatives on the market that offer competing products that are similar to Broadridge Cash Management. Sort through Broadridge Cash Management alternatives below to make the best choice for your needs
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ZenTreasury
ZenTreasury
9 RatingsZenTreasury is a modern cloud-based platform designed to simplify IFRS 16 lease accounting and streamline treasury operations in a single, easy-to-use system. It is ideal for companies managing anything from a few to several thousand leases, offering a scalable and secure environment to automate key processes and eliminate spreadsheet risk. The lease accounting module supports full IFRS 16 compliance, including automated lease classification, reassessments, modifications, termination handling, and journal entry creation. ZenTreasury generates accurate disclosure reports and supports multi-currency, multi-entity structures, cost center allocations, and role-based access control. Built-in audit trails ensure transparency and external audit readiness. In addition to lease accounting, ZenTreasury includes powerful treasury tools for managing financial instruments such as internal and external loans, FX contracts, guarantees, letters of credit, and interest rate derivatives. The platform also provides features for cash forecasting, liquidity planning, and automated treasury accounting. ZenTreasury integrates easily with core business systems, enabling seamless data flow and process automation. It is hosted on secure, enterprise-grade cloud infrastructure and supports fast onboarding, enabling teams to go live quickly without long implementation projects. Trusted by enterprises globally, ZenTreasury empowers finance teams with visibility, compliance, and control in both lease and debt management. Whether you are replacing spreadsheets or upgrading from a legacy system, ZenTreasury delivers the automation and structure needed to modernize your financial operations. -
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CAPIX
CAPIX
$5000 one-time paymentCAPIX is a cloud-based solution for treasury and investment that offers users a secure, centralized platform to effectively oversee their corporate treasury and investment activities. It includes sophisticated technology for cash flow management and forecasting, enhancing financial oversight. Leveraging the robust Microsoft Azure cloud infrastructure, CAPIX allows users to conveniently access applications and data from any internet-enabled desktop, tablet, or smartphone. The platform also facilitates trading across various financial securities. Furthermore, CTM™ adheres to IAS 39 standards and boasts enhanced cash management functionalities. By automating the deal capture process, CTM™ significantly streamlines the accounting and administrative tasks related to treasury operations. It supports trading in a wide array of financial securities and derivatives, including Money Market instruments, Forex, Fixed Interest, Swaps, and Options, thus catering to diverse trading needs. This comprehensive approach ensures that users can efficiently manage their financial operations and make informed investment decisions from anywhere. -
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Trovata
Trovata
$500 per monthTrovata offers modern treasury software that allows users to onboard in just minutes without any need for IT support or lengthy implementation processes. Utilizing open banking and ERP integrations, Trovata automates the aggregation, normalization, and analysis of financial data, enabling real-time reporting on cash positions and trends. With pre-integrations for most banks, users can connect swiftly and maintain constant updates without the hassle of downloading .CSV files from banking websites. As an open banking platform, Trovata empowers businesses to instantly assess their cash levels, forecast efficiently, and manage cash flow with accuracy. Traditionally, 75% of the effort involved in cash analysis consists of manually compiling data and updating Excel models, which can be time-consuming and error-prone. By adopting Trovata.io, companies can eliminate these tedious manual workflows and significantly improve their financial management processes. This innovative approach not only streamlines operations but also enhances overall decision-making by providing a clearer picture of cash availability. -
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Agicap
Agicap
Agicap empowers you to prioritize essential tasks like analysis and decision-making by centralizing your cash flows and automating routine activities. You can create a cash flow forecast while tracking the progress toward your financial goals. By linking your bank accounts and business tools, you can visualize your cash position effectively. Enhance your overall productivity through a streamlined, automated, and unified cash management approach. Utilize a comprehensive collaborative platform to bring together all your data seamlessly. You can anticipate cash flow at both the consolidated and individual entity levels with ease. Effortlessly consolidate and keep track of your cash flow across various banks, entities, and business tools. Establish automated cash forecasts and examine different scenarios for better planning. Design customized dashboards to elevate your analysis and reporting capabilities. Allow Agicap to automatically sort your banking transactions for efficiency. Keep track of discrepancies between actual figures and forecasts in real-time to ensure accuracy. By building a trustworthy forecast, you can make well-informed decisions promptly, ultimately leading to enhanced financial health for your organization. This level of insight into your cash management can significantly contribute to strategic planning and resource allocation. -
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Broadridge Revport
Broadridge Financial Solutions
Achieve significant improvements in operational efficiency, reduce accounts receivable processing time by 50%, and lower resource expenses with our advanced revenue and expense calculation platform. Revport, developed by Broadridge, streamlines your billing and invoicing processes while offering an all-encompassing perspective that allows you to concentrate on expansion. Our cutting-edge Revenue and Expense Management system automates finance workflows governed by rules, along with managing revenue accruals and reversals, leading to fewer mistakes and enhanced productivity. CFOs can easily oversee every aspect of revenue and expense management, from fee billing to accruals and invoice validation to revenue sharing, all in a user-friendly format. Furthermore, effectively manage risk and credit exposures while optimizing cash utilization by pinpointing and prioritizing payment obligations and the timing of outflows. Enhance cash flow and capital utilization through real-time aggregation and visibility into cash activities across all business entities, ensuring proactive financial management. Ultimately, Revport empowers organizations to make informed decisions that foster sustainable growth and efficiency. -
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Panax
Panax
Panax is an innovative cash management software designed specifically for the needs of finance and treasury teams, allowing them to escape the burdens of manual tasks by consolidating data from various banks, ERPs, and payment systems into a cohesive real-time interface equipped with advanced AI insights that enhance operational efficiency, liquidity management, and risk mitigation. By automating essential treasury functions such as transaction categorization, reconciliation, forecasting, reporting, and cash application, it eliminates the reliance on error-prone spreadsheets and manual processes, thereby empowering teams with greater strategic clarity and confidence in their decision-making. Panax also offers features like real-time cash positioning, predictive cash forecasting, and proactive alerts, ensuring seamless integration with global banks, ERPs, and payment platforms. Additionally, its AI agents and conversational assistant provide enhanced forecasting capabilities, identify anomalies, and assist in predicting cash shortages, allowing teams to take proactive measures before problems arise. This comprehensive approach not only streamlines finance operations but also equips organizations with the tools necessary to navigate the complexities of modern cash management effectively. -
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Payference
Payference
Enhance your cash flow by implementing faster collections and improved forecasting within a single, user-friendly platform. Access your ERP, accounting, and banking information through an intuitive dashboard that provides real-time insights for prompt decision-making. By automating repetitive data gathering tasks, you can save valuable time and enable your finance team to concentrate on more strategic initiatives. Payference IQ Technology™ is designed to enhance your working capital, allowing you to uncover hidden cash and manage your Days Sales Outstanding (DSO) and Days Payable Outstanding (DPO) effectively. Rely on a straightforward solution equipped with all the necessary tools and support for seamless cash management. Streamline your cash collection processes to boost efficiency and accelerate cash inflow. Additionally, pinpoint high-risk accounts to mitigate their effects on your finances. Utilize machine learning capabilities to forecast payment behaviors accurately while integrating your ERP/accounting systems, banking institutions, and payment methods. Automatically match payments with bank transactions for hassle-free reconciliation, and monitor your entire cash position in real-time from one centralized source. Moreover, you have the flexibility to adjust and modify elements within your cash forecasts as needed, ensuring that you always stay ahead of your financial requirements. -
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Bottomline Global Cash Management Hub
Bottomline
Achieve a unified overview of your cash flow by utilizing a single platform that seamlessly integrates with all your banks and accounts without manual effort. This solution ensures every stakeholder has access to the same comprehensive financial picture. Enhance your working capital management through a consolidated display of cash alongside credit lines, loans, and additional financial assets. Effortlessly create bank statements and account reports, minimizing both errors and the time spent on manual processes. Instantly check opening, projected, and intra-day balances, along with real-time updates, eliminating the need to log into various banking websites. Tailor your dashboards and screens to fit your specific preferences for optimal usability. Monitor your anticipated revenues, accounts payable and receivable, and payroll with ease, while also comparing forecasts against budgets. The platform automatically syncs your financial data, allowing you to utilize various tools and views for effective liquidity management and informed decision-making. You can filter, drill down, and export your data as needed, and view your cash positions in both original and reporting currencies. Furthermore, this comprehensive approach aids in identifying trends that can help optimize financial strategies over time. -
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Atlar
Atlar
Atlar is an innovative treasury management platform designed for the digital age, integrating cash management, payments, cash-flow forecasting, investment tracking, and seamless bank/ERP connectivity into a cohesive real-time interface. By centralizing various bank accounts, payment processors, and corporate finance applications, it enables users to monitor their balances, transactions, and liquidity across multiple banks, currencies, and entities from a single, user-friendly dashboard. The platform streamlines accounts payable processes, payment operations, and bank reconciliation while ensuring data synchronization with ERP systems, thereby eliminating the need for manual file uploads, cumbersome spreadsheets, and fragmented banking portals. Enhanced by adaptable, policy-based approval workflows and comprehensive audit trails, it provides finance teams with robust control over payments, permissions, and compliance measures. Furthermore, with added layers of security such as Single Sign-On (SSO) and Multi-Factor Authentication (MFA), Atlar guarantees a secure environment for financial operations. Among its advanced functionalities are dynamic cash flow planning tools, including forecasting and scenario modeling, as well as the ability to create personalized dashboards and access real-time reporting for effective liquidity management. The platform ultimately empowers finance departments to make informed decisions and optimize their financial strategies efficiently. -
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FIS® Treasury and Risk Manager - Integrity Edition, previously known as Integrity SaaS, is an acclaimed solution that provides an efficient and straightforward approach to achieving a top-tier digital treasury, enhancing transparency in cash and risk management. This robust yet user-friendly treasury management platform offers the adaptability and features necessary to handle both straightforward and intricate treasury tasks, which encompass cash positioning and forecasting, management of bank accounts, processing payments, navigating foreign exchange, overseeing debt and investments, and ensuring compliance and thorough reporting. Similarly, FIS® Treasury and Risk Manager - Quantum Edition, formerly known as Quantum, presents a comprehensive treasury management system that enhances your oversight and command over cash and liquidity management, encompasses risk management, hedging accounting, and the handling of FX, interest rate, and commodity derivatives, while also facilitating in-house banking, netting, payment processing, regulatory reporting, and cash forecasting. With these advanced tools at your disposal, organizations can achieve more strategic financial planning and risk mitigation.
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SymPro Cash Management
SymPro Treasury Management Solutions
Our cash management solution streamlines the process of determining your daily cash position, allowing you to achieve this in mere minutes instead of taking hours. When you arrive at the office, you will discover that all banking transactions from the previous day have been automatically populated into your daily cash worksheet. This enables you to gain an instant overview of your organization’s overall cash status. Generating cash forecasts becomes effortless as the system utilizes historical data to formulate accurate projections for daily, weekly, monthly, or even yearly periods. Additionally, you have the option to enhance your forecasts by effortlessly importing data from various external platforms. The electronic funds transfer module provides a secure and efficient way to initiate, authorize, approve, and monitor all electronic money transfers. Furthermore, a status and control feature simplifies the management of your payment workflow across multiple banking institutions, ensuring smooth operations and increased efficiency. This comprehensive system ultimately empowers you to make informed financial decisions with confidence. -
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Fygr
Fygr
$30 per user, per monthManaging and predicting your cash flow has reached new levels of simplicity. Whether you are a start-up, a very small enterprise, or a small to medium-sized business, you can streamline your cash management using a single, robust tool! What sets us apart? Fygr is the pioneering solution that can generate cash flow projections automatically, utilizing an intelligent system designed to save you both time and resources. Access all your banks and accounts from one centralized platform, allowing you to view individual accounts or multiple accounts simultaneously. Monitor your cash flow effectively to prevent overdrafts. Within moments, gain a clear and customized perspective on your financial situation. You can categorize your expenses to align with your business needs. Our advanced algorithms quickly provide a comprehensive summary of your cash flow performance. Take control of your finances and minimize costs by easily analyzing total expenses by category. Step back and assess your financial standing, cutting out unnecessary expenditures. Make informed decisions with assurance, as our algorithms can generate a cash flow forecast in just seconds. This innovative approach helps you stay ahead in managing your business’s financial health. -
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RocketChart
RocketChart
$49 per monthSay goodbye to the tedious task of managing your cash flow through complicated spreadsheets. By linking your bank accounts, you can automate your financial reporting and monitor your cash flow as it happens. Explore various forecasting options and make informed choices to enhance your business operations. Cash flow is crucial for success, but tracking it manually in Excel can be a drain on your resources. RocketChart streamlines and automates your cash management, allowing you to save time and maintain better oversight of your expenses. With real-time cash flow management, you can connect your bank accounts for immediate synchronization of both receipts and payments. Gain a comprehensive view of your consolidated cash flow while also delving into details by individual bank accounts. Keep track of your cash runway and manage your spending effectively by optimizing costs. You can create custom categories and subcategories for more personalized tracking, and our algorithm will automatically classify your transactions for you. This way, you can easily pinpoint large expenses and make adjustments to optimize your budget. Embrace a smarter approach to financial management today! -
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Kyriba
Kyriba
Achieving a clear understanding and oversight of cash and liquidity is an essential necessity for any treasury department. In the absence of this clarity, making informed financial decisions and pursuing strategic business goals becomes exceedingly difficult. Kyriba provides timely and precise global cash visibility, empowering treasury teams to develop accurate forecasts that instill confidence across the organization. With unrivaled cash forecasting capabilities, Kyriba offers a wide range of options for input, importation, modeling, and evaluating the success of cash forecasts. This allows clients to enhance both the accuracy and timeframe of their cash projections—whether for days, weeks, months, or even years. Managing various global bank accounts can pose significant challenges and complexities, along with potential compliance and security issues. Kyriba’s bank relationship management solution alleviates these concerns, allowing for better oversight of all global bank accounts while ensuring segregation of duties, maintaining audit trails, tracking signatories, and facilitating FBAR reporting. Furthermore, by streamlining these processes, organizations can significantly improve their overall financial governance. -
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Embat
Embat
Streamline and enhance your organization's treasury management practices. Gain command over your treasury operations while refining your liquidity management strategies. Visualize and automate aspects such as cash flows, reports, and forecasts related to cash and debt positions. Create short, medium, and long-term liquidity forecasts that seamlessly integrate with your ERP, accounting systems, and FP&A platforms. Efficiently monitor your budget and develop various planning scenarios. Leverage generative artificial intelligence to automate over 90% of your treasury's accounting entries, guaranteeing both precision and real-time updates to your financial records. Systematize your reporting and treasury metrics to accelerate decision-making processes and minimize preparation time. Manage all your payment processes within a single platform, ensuring automated accounting and reconciliation in your ERP that is free from errors and requires no human intervention. Additionally, this comprehensive approach will empower your treasury team to focus on strategic initiatives instead of routine tasks. -
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Brightflow AI
Brightflow AI
$300 per monthEmpower your business decisions with data-driven insights, manage your cash flow effectively, and enhance your access to capital through the forecasting and financing tools offered by Brightflow AI. By consolidating real-time data from all your channels into a single, user-friendly platform, Brightflow AI equips entrepreneurs with immediate cash flow predictions, insightful business analytics, and innovative financing solutions. Prevent cash shortages and accurately anticipate inflows and outflows; improved ordering and operational efficiency start with precise forecasts. Tailor sales predictions according to your unique patterns and current data, boost your creditworthiness, and prepare to secure loans effortlessly. Track daily and monthly revenue trends to easily identify opportunities for growth while benefiting from increased access to capital. With these tools at your disposal, your business can thrive in a competitive landscape. -
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Treasury Intelligence Solutions
Treasury Intelligence Solutions
Many businesses have significantly invested in refining their inbound payment processes to boost cash inflows. However, a majority of these corporations have neglected to enhance their outbound payment strategies, resulting in fragmented functions, systems, and regional operations that obscure cash flow insights and create a misleading picture of liquidity—ultimately jeopardizing the organization. TIS addresses this issue by automating five essential outbound payment capabilities while fostering a culture of continuous improvement. Companies frequently face challenges from diverse systems, various data sources, and insufficient visibility across their international payment networks. To combat this, TIS has created a maturity model based on best practices that integrates with their outbound payment technology platform, guiding clients toward achieving Enterprise Payment Optimization. Both inbound and outbound payments constitute a large portion of overall cash flows for global enterprises, prompting organizations around the globe to increasingly prioritize the enhancement of their payment processes and transaction efficiency. This concerted effort to optimize payment approaches is crucial for maintaining competitiveness in a rapidly evolving financial landscape. -
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Datalog TMS
Datalog Finance
Centralize your Treasury processes with the most comprehensive and flexible platform that is built to handle any level of complexity. Datalog TMS automates the reconciliation of accounts, calculation of fees, and optimization of interest rates. You will be able to manage cash flows, forecasts, payments, in-house banking and sophisticated financial instruments. You're ready to modernize your Treasury but don't have a clue where to start? Choose a TMS Module that will help you where you need it the most. You can then add on, rolling out new modules gradually with minimal disruption, until you have an integrated TMS that meets all your treasury requirements. Connect seamlessly with any ERP, IT, or accounting system. Automatically exchange account data in any file format with any bank. -
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Lumina Americas
Lumina Americas
Lumina Treasury offers a comprehensive front-office trading and portfolio management platform that supports financial institutions in overseeing their daily operations related to both their own investments and third-party assets, encompassing trading and treasury functions, along with client and mutual fund portfolios. It equips users with an array of tools designed to manage cash flows, balances, and liquidity—both historical and forecasted—while also addressing exposure, risk management based on market curves, currencies, indexes, and options. The software is capable of calculating daily, monthly, and yearly profit and loss from a portfolio perspective, taking into account the key risk factors involved. Its product range is extensive, covering standard instruments, derivatives, exotic derivatives, and structured products, including offerings specific to Latin America, all evaluated in real-time with up-to-date market data. Additionally, Lumina Treasury can function as the primary trading platform or serve as a centralized repository that consolidates transactions and positions sourced from various applications via a broad array of interfaces, including a proprietary API, ensuring seamless integration and comprehensive oversight of trading activities. This flexibility allows institutions to tailor their trading operations to their specific needs while maintaining robust management capabilities. -
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ATOM Treasury & Risk Management
Financial Sciences
ATOM Treasury and Risk serves as a comprehensive treasury management system (TMS) designed for both corporations and financial institutions, streamlining essential treasury operations such as cash management, banking, forecasting, liquidity management, investments, funding, hedging, risk management, and financial reporting. This system adopts a distinct visual workflow method for overseeing treasury activities. Recently, ATOM has introduced "ATOM Cockpits," which seamlessly integrate navigation, features, detailed analysis, workflow management, reporting, and business intelligence within a neatly arranged home screen. Each cockpit caters to specific business sectors within ATOM, encompassing areas like cash management, banking, capital markets, risk, and financial reporting. Additionally, ATOM Cockpits are customizable, allowing users to design their own personalized screens that prioritize the functionalities and metrics that matter most to them, thereby enhancing their overall experience with the system. This tailored approach not only improves efficiency but also empowers users to focus on their unique treasury needs. -
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CashPundit
CashPundit Technologies
Introducing an innovative solution for managing receivables and cash flow, CashPundit provides a comprehensive overview of cash flow dynamics, enhancing collection processes and mitigating cash flow challenges. This platform offers a clear projection of future cash flows, empowering businesses to make strategic decisions for their growth and stability. By integrating seamlessly with accounting software, CashPundit enables companies to effectively oversee their receivables and payables. This tool is designed to assist CFOs and business owners in gaining better control of their cash flow, allowing for more restful nights. Key features include a cash flow forecast tool that accurately predicts cash inflows and outflows based on invoice due dates and customer payment promises, which helps identify potential cash shortfalls in advance for timely intervention. Additionally, users receive reminders for following up on payments, ensuring they stay on top of customer invoices, with notifications accessible via both web and mobile platforms. Overall, CashPundit not only streamlines cash management but also enhances the financial decision-making process, making it an indispensable asset for businesses aiming to optimize their cash flow management. -
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Likwidity
Likwidity
$450Likwidity serves as a non-brokered SaaS marketplace designed for cash deposits, connecting corporations with banks. The platform seeks to provide: 1. An automated multi-bank, multi-currency deposit marketplace for seamless price discovery and execution. 2. Enhanced interest income by automating price discovery RFQ and creating competitive pricing among banks. 3. Features for effective bank account management, compliance, risk limits, and maturity management. 4. For clients: 1. Improved interest rate results through a systematic and automated price discovery method via a Request for Quote process that can involve up to 20 banks simultaneously. 2. Complete automation of various processes, resulting in significant time savings. 3. Strengthened existing bank relationships and the potential to establish new ones. 4. Increased transparency regarding counterparty risks and associated limits. 5. Comprehensive auditability and governance, along with robust risk and compliance measures for the organization’s cash assets. 6. Automatic reporting features, which are particularly useful for board presentations. 7. Overall, Likwidity aims to streamline cash management for corporates while enhancing their financial opportunities through innovative technology. -
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FiREapps
Rim Tec
FiREapps and Kyriba are partnering with top global firms to provide valuable insights into the effects of currency fluctuations on financial performance, enabling these companies to manage and mitigate currency risk in a cost-efficient manner. Their comprehensive method addresses the shortcomings of traditional ERPs, corporate consolidation, and financial planning systems, thereby offering multinationals enhanced visibility into their cash flow, financial standings, and currency exposures. Discover how advanced organizations are utilizing automated currency analytics alongside complete currency exposure management solutions. For over ten years, FiREapps has worked with numerous leading enterprises, assisting them in enhancing operational efficiencies and minimizing the negative impacts of currency variations. This collaboration has proven essential for businesses seeking to navigate the complexities of global finance effectively. -
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Finastra KTP
Finastra
Finastra KTP delivers a comprehensive, integrated treasury management system that helps organizations gain full control over liquidity, exposures, and financial risk. By consolidating cash and risk data into a single platform, it enhances transparency and enables better strategic decision-making. Its cloud deployment on Microsoft Azure ensures enterprise-grade security, high availability, and operational excellence, making it suitable for global operations. The modular design gives treasurers the flexibility to implement only the tools they need, scaling from midsize to large multinational corporations. Through centralized data and advanced analytics, KTP supports cost-effective hedging, compliance monitoring, and detailed reporting across multiple jurisdictions. The platform is built to handle complex, multi-entity treasury structures while maintaining consistency and accuracy in financial data. With its adaptable configuration, KTP can align with each organization’s operational and regulatory requirements. Ultimately, it helps treasury teams operate more efficiently, mitigate risk, and respond rapidly to market and business changes. -
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SUMMA
PREFIS
SUMMA is an innovative and personalized treasury and risk management system designed to enhance your financial oversight. As a cutting-edge solution, SUMMA effectively assists in handling cash, liquidity, and financial risks. With two decades of expertise derived from software deployments for global enterprises, central banks, commercial institutions, and government finance ministries, SUMMA delivers top-notch technological solutions for treasury, cash management, and risk assessment. This versatile platform provides bespoke solutions tailored to the unique needs of both corporate clients and financial institutions. Additionally, SUMMA’s adaptability ensures it can be refined and optimized to meet your specific requirements. With its commitment to customization, SUMMA stands out as a leader in the financial management landscape. -
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Obol
Obol
Obol transforms cash management by centralizing real-time bank data, transactions, and forecasts into a single, intuitive system. Teams can set up the platform in minutes, instantly replacing manual tracking with automated reporting and live dashboards. Obol’s AI-powered Copilot provides instant answers, trend identification, and cash flow explanations to support faster, data-driven decisions. Built-in forecasting models automatically sync with live data to ensure every plan reflects current financial reality. Finance leaders can simulate scenarios, identify gaps, and assess runway with precision. With 35,000+ bank and ERP integrations, Obol adapts to any financial stack. Its automation capabilities reduce manual entry by over 80%, freeing teams to focus on strategy instead of admin work. Designed for startups, SMBs, mid-market companies, and global enterprises, Obol scales with the evolving needs of modern finance teams. -
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Trésorerie
JLogiciels
Oversee your company's financial outflows by monitoring health metrics through balances and receipts, including patterns and data from your bank statement. Utilize a cash journal to track cash flow and manage expenses efficiently. The system accommodates both single and multiple payment entries and supports multiple users. It is compatible with various platforms including MAC, PC, iPhone, iPad, and Android, and can automatically generate recurring expenses. Additionally, revenue management is streamlined by allowing the entry of supplier and employee records, complete with a comprehensive supplier sheet that enables you to manage your vendors confidently, ensuring easy retrieval of all orders placed. Keep an eye on both one-time and ongoing expenses with user-friendly tracking that simplifies the process from creation to payment, while the software automatically schedules recurring expenses on their due dates. With insights gathered from working closely with construction companies, Jogiciels has developed tailored software that meets the diverse needs of the industry, addressing every facet of their operations effectively. This ensures that users can maintain an organized and efficient financial management system. -
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HighRadius
HighRadius
HighRadius is a Fintech SaaS company that utilizes AI-based Autonomous Systems to automate finance processes such as Order-to-Cash, Record-to-Report, and Treasury management for businesses. Our Autonomous Software platform for the Office of the CFO is AI-driven, enabling companies to lower DSO, optimize working capital, fast-track financial close, and improve productivity. HighRadius has helped over 700 leading companies, including large corporations and mid-size enterprises, to transform their finance processes in O2C, treasury, and R2R. Our Order-to-Cash solutions include Credit Risk Management, AR Collections, Cash Application, Deduction Management, and E-Invoicing and Payment software. For Treasury management, we offer Cash Management and Cash Forecasting software, while our Accounting solutions comprise Financial Close Management, Account Reconciliation, and Anomaly Management software. -
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IVP Treasury
Indus Valley Partners
In today's financial landscape marked by diminishing prime broker balance sheets, a multitude of counterparties, and stringent regulations, effective treasury management is more important than ever. Indus Valley Partners supports asset managers in refining these processes to navigate the increasing intricacies of financing, cash, and collateral management. With over $1 trillion in assets under management flowing through IVP's Treasury Management, firms can revolutionize their treasury operations to identify alpha more effectively, streamline workflows, enhance data quality, and bolster decision-making capabilities, all while achieving a comprehensive perspective on their collateral, cash, and margin management strategies. This includes monitoring collateral and margin across all custodians to ensure optimal liquidity management, automating margin calculations for efficiency, and implementing collateral optimization indexing alongside sweeping opportunity analyses. Additionally, they can facilitate communication with counterparties for margin call resolutions, while generating standard, custom, and on-demand reports to maintain transparency and accuracy in their financial operations. By leveraging these tools, asset managers can better position themselves to adapt to the evolving market demands. -
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TreasurUp
TreasurUp
TreasurUp is an innovative cloud-based platform that offers a white-label business banking solution tailored for commercial banks, empowering them to provide sophisticated digital treasury, risk, liquidity, and cash management services to their SME and corporate clientele using the bank's own branding. This platform allows banks to effectively compete with fintech solutions without the need to develop their own systems internally. It features a variety of modules, including those for foreign exchange trading, advanced hedging strategies, cash visibility, and consolidated liquidity dashboards, as well as tools for cash flow forecasting and integration with accounting or ERP systems, cross-border and batch payments, cross-currency target balancing, and investment products, all of which can be accessed through web, mobile, and API interfaces, while also supporting regional customization and single sign-on capabilities. Built with a focus on API connectivity, TreasurUp provides real-time insights into account balances, transactions, and ERP data, allowing businesses to gain actionable information regarding their cash positions. Furthermore, it streamlines important workflows, such as automating hedging based on predictive data, and simplifies treasury operations like managing foreign exchange exposure, ultimately enhancing the overall banking experience for users. Through its comprehensive and user-friendly design, TreasurUp positions banks to not only meet but exceed the expectations of their clients. -
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TreasuryApps TMS
TreasuryApps
$300/Month TreasuryApps TMS, a SaaS Treasury management software, is available. It also includes risk management and cash management features. TreasuryApps was established in 2011. Alternative products to TreasuryApps TMS are CAPIX, GTreasury, and tm5. -
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LIST's treasury platform provides a comprehensive strategy for managing liquidity, seamlessly combining asset-liability management (ALM), funds transfer pricing (FTP), payment solutions, and measures for managing regulatory risks into one adaptable and modular system. The ALM component is a versatile instrument designed to analyze cash flows related to both banking and trading activities, allowing for the creation of tailored managerial metrics and indicators for liquidity risk. Emerging from a lesser-known chapter of Italian history, LIST has transformed from a micro-enterprise into a globally recognized entity. Currently, we deliver facility and application management services, supported by our hosting infrastructure located in Europe and North America. As the financial market undergoes rapid changes driven by competition, regulatory demands, and technological advancements, LIST develops cutting-edge technological solutions and services that address the growing complexities associated with electronic trading, compliance, and risk management, providing essential support to financial institutions and exchanges. This innovative approach not only streamlines operations but also enhances the overall efficiency of financial entities in a challenging landscape.
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BlazePortfolio
BlazePortfolio
Effortlessly implement intricate models while easily overseeing asset allocations throughout various portfolios. Efficiently manage order flow across diverse custodians as well as different asset and security categories. Attain Simple Tax Alpha through effective Tax Harvesting and Location Optimization strategies. Maintain a clear overview of cash balances with robust yet straightforward tools designed for daily cash management and intra-day cash oversight. Seamlessly connect with a broad range of portfolio accounting, reporting, custodian, and execution systems. The features are meticulously crafted to guarantee trading compliance and precision in data accuracy. BlazePortfolio® specializes in providing streamlined, user-centric trade management solutions tailored for investment managers, RIAs, wealth managers, broker-dealers, family offices, and industry collaborators. Effortlessly manage order flow across various custodians and security types while keeping a close watch on cash balances with efficient tools for daily and intra-day cash oversight. By implementing complex models, you can effortlessly monitor asset allocations across your portfolios with confidence and clarity. -
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Grappler
Grappler
Grappler is an innovative cloud-based accounting automation tool specifically designed for the international insurance industry, effectively tackling the back-office difficulties encountered by syndicates, managing general agents (MGAs), service firms, cover holders, agencies, and insurers. This software enhances decision-making by providing essential financial metrics, aiding in strategic planning for the future, and facilitating ongoing forecasting efforts. By utilizing automation and advanced machine learning techniques, Grappler streamlines manual reconciliation tasks, which boosts accuracy and expedites the alignment of payments with policies. Notable functionalities include the automation of daily, monthly, and annual closing processes to mitigate risk and strengthen control; the modernization of legacy bordereaux document workflows to ensure clear visibility of cash positions; the eradication of unallocated cash and clarification of debtor statuses; and the provision of comprehensive dashboards, analytics, and reporting capabilities for all ledgers, which highlight unallocated cash, debtor positions, and customer performance metrics. Furthermore, Grappler empowers users by presenting actionable insights that drive better financial management and operational efficiency in a rapidly evolving insurance landscape. -
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Realiti
Planixs
Planixs offers a cutting-edge liquidity management solution tailored for banks and financial institutions through its Realiti platform, which seamlessly integrates with existing systems to provide real-time aggregation of cash and securities data. By eliminating data silos, it streamlines and automates various liquidity management processes, enhancing operational efficiency. Additionally, users benefit from Realiti Insights, which delivers sophisticated data analytics for comprehensive access to dynamic information produced by your Control functions. This feature allows you to analyze liquidity factors, assess risks, and fulfill regulatory obligations effectively. Furthermore, the platform enables the integration of supplementary data such as market prices, external risk indicators, and financial models, making it a versatile tool. While major global banks typically invest hundreds of millions in developing similar systems, Realiti democratizes these advanced analytics capabilities, making them accessible to all banks at a significantly reduced cost, ultimately transforming how institutions manage liquidity. Overall, Planixs is redefining the landscape of financial analytics with its innovative approach. -
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Salmon Treasurer
Salmon Software
Salmon Software provides a comprehensive treasury management system (TMS) designed to meet the needs of treasury front, middle, and back offices, featuring seamless integration with various third-party solutions that include dealing platforms, market data providers, ERPs, and risk management systems. Built on the Microsoft Azure platform, this solution ensures that each client operates within its own distinct environment. Additionally, a dedicated shared-service office offers immediate remote assistance to clients whenever needed. The TMS is developed internally by Salmon Software, which has set a goal to release a major update every five years, supplemented by annual interim updates to enhance functionality. Known as Salmon Treasurer, the TMS effectively manages cash flow, forecasting, and coverage for a range of standard financial instruments, such as index-linked derivatives, debt, commodities, and investment funds. This commitment to regular updates ensures that clients benefit from the latest advancements in treasury management technology. -
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Bottomline Treasury & Payments Lifecycle Management
Bottomline Technologies
Transform your payment processes, treasury operations, payables and receivables management, as well as transaction banking through digital solutions. The Bottomline Payments and Cash Management (PCM) platform provides organizations with the tools necessary to execute thousands of payments each day while customizing features to fit their specific business and technological requirements. With the PCM solution, companies can effectively oversee and automate the handling and reporting of payments on an enterprise scale, integrating multiple banks, accounts, payment systems, networks, office sites, and back-office frameworks, all through a singular, bank-agnostic SaaS platform. This innovative approach allows organizations to initiate and manage a diverse array of global B2B and B2C payment options such as treasury functions, accounts payable, rebates, payroll, claims, dividends, collections, tax obligations, child support, and beyond, utilizing various methods including checks, ACH, and wire transfers, thereby streamlining their financial operations significantly. -
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Reval
Reval.com
Reval stands out as a premier global provider of cloud-based treasury software solutions. With its adaptable Software-as-a-Service (SaaS) platform, the company empowers over 650 organizations worldwide to enhance their management of cash flow, liquidity, financial risks, and hedge accounting. Our dedicated team, comprised of finance and technology specialists, supports a diverse client base that spans various industries and includes businesses from more than 30 different countries. As a subsidiary of ION, which specializes in essential trading and workflow automation software for financial institutions, central banks, governments, and corporations, Reval enables both corporations and banks to customize and implement Treasury and Risk Management (TRM) technology in the cloud. Leveraging this solid foundation, Reval provides tailored solutions for treasury departments of different sizes and complexities, allowing companies to craft their unique configurations from the most comprehensive set of treasury and risk management features available in the industry. This flexibility ensures that organizations can effectively address their specific treasury challenges and requirements. -
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CashWhiz
CashWhiz Australia
CashWhiz is a budgeting software for Windows, crafted in Australia, that provides organizations with powerful tools for financial planning and analysis. It includes capabilities for modeling cash flow through various "What If" scenarios, generating balance sheets and income statements, performing forecasting, managing cash, and consolidating data across multiple entities. Additionally, it integrates with general ledger systems, offers profit-and-loss reports, supports project budgeting, tracks run rates, and maintains version control. Tailored for environments with multiple companies, departments, and projects, CashWhiz simplifies the budgeting process while improving financial visibility for mid-sized businesses, enterprises, nonprofits, and government entities alike. Its comprehensive features make it an invaluable tool for organizations aiming to enhance their financial management and strategic planning. -
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Nomentia
Nomentia
Nomentia boasts one of the most extensive selections of cash and treasury management solutions available, employing a highly modular framework that allows you to tailor your technology solutions to align perfectly with your business objectives while we handle the integration. This flexibility empowers you to elevate your operational processes, as you can select the specific solutions you require and seamlessly incorporate them into your current technology setup. By linking and synchronizing your ERP systems and other source platforms, you can effortlessly oversee your organization's outgoing payments across accounts payable, treasury, payroll, and manual transactions. With Nomentia Payments, you can automate and streamline both local and international payments, consolidating all your systems into a single, secure gateway that enhances visibility and control over your payment processes. Ultimately, Nomentia is committed to providing you with the tools necessary to optimize your financial operations and drive greater efficiency. -
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CashAnalytics
CashAnalytics
Forget cumbersome spreadsheets that collapse with a single incorrect entry. With a single screen, you can instantly view the cash flow status of every business unit daily. The hands-free forecasting feature allows you to devote less time to number crunching and more time to strategizing your business's next steps. Oversee cash flow across the entire organization and track each unit easily from one dashboard. Quickly find answers to all your cash flow inquiries and impress your leadership with your expertise. CashAnalytics will significantly reduce the time you and your team spend on cash flow management while providing you with clear insights into both current and future financial positions. By transforming cash forecasting, CashAnalytics minimizes manual tasks and shortens reporting timelines by more than 90%. It achieves this by directly interfacing with data sources and optimizing data collection from personnel throughout the organization, making financial management more efficient. This innovative approach not only enhances productivity but also empowers decision-making at all levels of the business. -
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Statement
Statement
Introducing a comprehensive cash intelligence platform designed for effective global liquidity management, automated accounts receivable reconciliation, and precise 13-week forecasting. This solution provides enterprise-level security, seamless automation, and worldwide connectivity to any banking, ERP, expense, or investment system, all accessible through a single user-friendly interface. Our platform empowers treasury and finance departments to enhance their working capital by minimizing manual processes and improving the accuracy of cash-related information. Users can begin utilizing the system without the need for IT support. Although we prioritize an API-first approach, we ensure compatibility with various systems through our robust connectivity infrastructure, which includes pre-built integrations and the capability to support any new financial system requests from our clients. We facilitate onboarding in a matter of days instead of months, eliminating the need for additional development efforts. With access to real-time data, treasury management becomes more efficient, as we continuously gather information from all linked accounts every few minutes, ensuring that your global cash positions remain consistently accurate and up to date. This level of responsiveness not only enhances decision-making but also strengthens overall financial strategy. -
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Centime
Centime
Centime is the only all-in-one finance automation and banking platform built for mid-market businesses. Instead of juggling separate tools, Centime unifies AP, AR, expense management, forecasting, and banking in one system embedded directly in ERPs like NetSuite, Sage Intacct, and QuickBooks. Finance teams gain real-time visibility across the full cash cycle, eliminate inefficiencies, and turn finance into a strategic driver of growth. Core Capabilities: - Accounts Payable: AI-powered invoice capture, PO matching, approval workflows, supplier portal, and payments that earn 3.0% APY—transforming AP into a profit center. - Accounts Receivable: Automated invoicing, AI-driven collections, dispute management, and faster cash application to reduce DSO and improve predictability. - Expense Management: Mobile-first reporting, automated approvals, and policy enforcement, compatible with any card program. - Cash Forecasting: A dynamic 13-week rolling forecast with scenario planning and KPI tracking, helping leaders optimize liquidity. - Business Banking: High-yield checking, FDIC-insured sweeps, account aggregation, and cross-bank transfers—all from a single dashboard. Centime is purpose-built to work seamlessly inside the ERP, eliminating bolt-ons and manual reconciliations. Customers typically go live in 7–21 days, backed by award-winning onboarding and support. By combining automation, forecasting, and banking in one solution, Centime streamlines operations and gives businesses unmatched control over cash. -
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IBSFINtech
IBSFINtech India Private Ltd.
IBSFINtech, a global enterprise TreasuryTech company, provides end-to-end digitisation & automated solutions for corporates Cash & Liquidity, Treasury, Risk, Trade Finance(TRTFM®,) & Supply Chain Finance functions. Our product portfolio includes Onprem solutions, SaaSTM - InTReaX™ and Supply Chain solution VNDZY®. Our clientele spans many verticals and geographies. They include Vedanta Group. Mahindra. Sai Life Sciences Ltd., Bluestar Ltd., Polycab Ltd., Future Group. We were also awarded the prestigious "The Corporate Treasurer-House Awards", which recognizes IBSFINtech for being the best software provider in the APAC region. -
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Tesorio
Tesorio
Tesorio is more than collections management and accounts receivable automatization. It is the first and only global cash flow performance platform. Tesorio empowers finance teams and CFOs to increase profits by using artificial intelligence to better manage and predict cash.