Treasury Suite redefines corporate cash and bank management software. We understand that treasury workstation vendors must provide a platform that can be simple and user friendly without sacrificing quality utilities. Our solution was developed with end users in mind and incorporates a state of the art suite of impressive treasury management tools. With powerful reporting options, intuitive design, and treasury analytics resources you have everything you need to make the right cash and bank management decisions in just seconds.Learn more about our treasury workstation
Treasury Suite gives you clean, powerful information from the moment you log in, with a user interface that proves that brains and beauty are not mutually exclusive. Our treasury workstation tools were carefully designed to ensure that users can intuitively find the insight they need to make better decisions.
Treasury Suite is designed to free decision makers and IT resources so they can focus on what they do best. No development time. No implementation time. It just works. And a simple month-to-month contract keeps you flexible and fast.
Finance professionals often find themselves at the mercy of treasury workstation providers when it comes to pricing. Treasury Suite turns the market on its head and empowers practitioners with clean, powerful data for an honest, industry leading price.
Are you wasting time logging into banks to check balances or query past transactions? How about organizing bank data dumped into Excel? There's a better way. Fast decisions become well informed decisions with the daily cash management tools within Treasury Suite.
Knowledge is power in the fight against fraud. Teams that use our cash management software benefit from increased visibility from account aggregation and detailed transparency at an unprecedented level. This ensures that fraudsters from inside or outside of an organization are easier to spot.
Existing treasury workstation options are too limited or too complex, require too much training and support, or provide complex and difficult guidance on how to build and maintain a best practices cash management solution.
Treasury Suite automatically aggregates data from multiple banks to save time, validates and backs up information constantly, and organizes the data to provide intelligent and actionable reporting—thus moving you directly to the decision phase of the cash management cycle.
Treasury Suite is a unique database that aggregates, validates, secures, analyzes and reports bank and cash information. It's a platform that brings the power of multidimensional reporting to daily cash management for any organization regardless of size, industry or complexity. The information within Treasury Suite is delivered using structure and navigation tools that are both push and pull oriented, as well as quick, clean and very intuitive. In addition, the platform is built around the concept of actionable information that moves users quickly to the analysis and decision phase of cash management.
"Idaho State University utilized TreasSure's powerful analytics for over 5 years to increase the transparency surrounding our cash and to help us save time and money. Their unique web-based solution - Cash Analytics - was easy to learn and use all while providing valuable insights into our daily cash."
“The information provided by Cash Analytics has improved the visibility into my cash and working capital while reducing risks associated with my banking process. In addition, the daily reporting has significantly increased my awareness around our cash and banking program with little to no extra time requirement."
Cash Analytics is the daily cash platform that that gets it right. No implementation time. No hidden fees or ballooning cost. Just simple and powerful insight to help us manage our cash efficiently.