Optimize Returns in Real-Time

Unifying front- and middle-office treasury functions across cash, securities financing and collateral management allows firms to gain visibility into treasury obligations to help them deploy unallocated funds more efficiently and productively.

3000

Accounts

200 +

Currencies Supported

300 +

Bank SWIFT Connectivity Relationships

Treasury Management

Automates and unifies front and middle offices’ treasury responsibilities to provide users the ability to make real-time decisions.

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How a Treasury Management Solution Can Help

Our treasury management ebook looks at why it's important to have a solution and provides a case study example.

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Treasury Management - Emso Case Study

Optimizing the treasury function requires streamlined automation, increases efficiency and tightens operational controls.

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Intelligent Technologies to Meet
Today’s Market Realities

Shrink IT footprint

Automate and unify the front- and middle- office treasury responsibilities to eliminate multiple systems and awkward integrations.

Manage Cash Online

Remove manual processes by replacing cash activities with repeatable real-time cash projections and balances.

Gain Agility and Scalability

Scalable customization supports the decision process by leveraging existing data and operations processes so you can adapt quickly to changes in your business or the markets.

Featured Resources

Learn more about how SS&C can help you stay ahead of the competition.

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White Paper
Driving Alpha with Active Treasury Management
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Brochure
Treasury Management FAQs
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Infographic
Five Ways Treasury Management Can Grow Alpha
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