Liquidity operations

Treasury

Treasury tooling for businesses that need control over balances, exposures, movement policy, and reporting across markets.

Who It's For

Built for a
specific operator profile.

CFOs and finance teams managing liquidity across multiple entities, currencies, or operating regions.

The Problem It Solves

Treasury visibility breaks down when balance management, movement policy, and reporting live across disconnected providers.

Expected Outcomes
  • Treasury visibility
  • Policy-led fund movement
  • Operational resilience
Capabilities

What Treasury
improves for your operation.

Provide a stronger operating view across balances, movement, and exposure

Support policy-led decision-making for funding and payout activity

Reinforce finance control during international growth or corridor expansion

Onboarding Expectations

What the review team
looks at for this product.

Every Treasury activation is reviewed before onboarding moves forward. These are the primary assessment dimensions the review team considers.

Reviewed against treasury operating model and volume expectations

Assessed for entity complexity and approval workflows

Aligned to account, wallet, and settlement needs before rollout

Interested in Treasury?

Start the onboarding
review process.

Include your interest in Treasury in your enquiry. The review team will assess corridor fit, compliance posture, and operating model before any next steps are communicated.