Using the different functions users are able to start at a basic level, to simply review Cash Management, check on non-reconciled Items and the successful Integration of forecasting using within Multi-Book, Multi-Tiered cash forecasting tools. Growing through to Notional and Multi-Tiered Physical Cash Pooling or Centralised/De-Centralised web based user intercompany interaction onto full Risk and Exposure analysis the whole Treasury Group.
An Bradán Feasa «
We have amassed a wealth of knowledge, expertise and experience during our thirty year history. Our close interaction with our clients has given us a lead in identifying what they want and what works best for them. This interaction coupled with our knowledge, resilience and commitment enables us to produce the most robust and innovative treasury management software products and motivates us to continually upgrade our knowledge and technologies to satisfy the needs and demands of our clients.