Control Layer for Multi-Entity Treasury
In-house banking, intercompany netting, and policy governance in one layer. One currency or twenty.
Key Capabilities
- In-House Banking — Intercompany lending, cash concentration, and settlement across entities with full documentation and audit trail.
- Multilateral Netting — Consolidate intercompany obligations to reduce settlement volume and wire costs, on your cadence.
- Policy Governance — A central constraint library with entity-level overrides; every movement checked against policy before it executes.
- Liquidity Visibility — Consolidated cash position across entities and banks, refreshed at the cadence your banks support.
- Cross-Border and FX — Currency-aware netting, FX cost reduction, and settlement across existing and emerging payment rails.