Reporting and FX confirmations
Our automated solutions for reporting and FX provide corporates with efficient and reliable confirmations, settlement and reporting, keeping your business flowing and allowing you to focus on what you do best.
Manage your liquidity efficiently
Thanks to your connectivity to the SWIFT network, you are able to centralise data such as end-of-day statements and intraday reports, which helps you better manage your cash flow.
- Data-driven decisions
- Complete and precise cash flow forecast
- 10,000 banks network
Benefit from automated solutions for your FX confirmations
Manage your treasury operations over SWIFT to benefit from improved straight through processing, reliable settlement and timely reporting.
Our solutions use industry standard messages over your existing SWIFT infrastructure for lower operational costs.