Real-Time Cash Control for Better Decision-Making
Automate, optimize, and streamline cash management with instant control across every account, real-time cash visibility, and automated forecasting.
Statement® Treasury Features
Cash Management Made Easy
Real-Time Cash Visibility
Real-time data enables teams to act on today’s cash, not yesterday’s metrics. Intra-day and prior-day balances are rolled up by bank account, entity, currency, or bank in a single dashboard. Filter to any level—transaction, vendor, or category—for instant drill-down analysis.
Automated Cash Flow Forecasting
Cash flow forecasting means fewer manual spreadsheets and more accurate liquidity planning. Unlimited 13-week cash-flow projections pull in live transaction and ERP data, then let you tweak assumptions on the fly so everything stays aligned with changing plans.
AI-Driven Insights
AI insights replace manual processes to drive smarter cash flow forecasting and prevent idle funds. Machine-learning models flag anomalies, surface investment opportunities, and send proactive alerts so capital always works harder.
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Customer Stories
Explore Statement Treasury Customer Success Stories
Learn how global marketing leaders used natural intelligence to improve cash and liquidity management with Statement Treasury.
48
hours saved monthly
70+
accounts consolidated
How It Works
Turn Raw Data Into Real-Time Cash Flow Insights
Unlike legacy cash management solutions that rely on overnight files and manual uploads, modern treasury solutions connect live data streams and automate every step of the liquidity workflow.
Step 1
Connect Every Data Source
Secure APIs pull live transactions from 3,000+ banks and financial institutions, ERPs, billing tools, and databases, eliminating manual file uploads.
Step 2
Enrich Transactions with AI
Our AI engine normalizes, structures, and categorizes your raw bank data to create a clear and accurate view of your cash position.
Step 3
Consolidate Balances in Real Time
Consolidate intra-day activity into a single dashboard, so you always know your cash balances and the amount in transit, and can more easily identify potential financial risks.
Step 4
Generate Predictive Intelligence
Analyze historical AP, AR, and payroll flows to build rolling 13-week forecasts. Intelligence helps you spot trends, anomalies, risks, and opportunities before they impact liquidity.
Step 5
Mitigate risk and put more cash to work
Stay ahead with smart alerts on hedging risk, projected liquidity, unusual transactions, and high fees. Understand where you can invest to optimize yield.
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