We provide treasury management systems that enable better treasury management. Better treasury management means integrated cash management, optimising financial market transactions, streamlining processes and reporting, and overall, more effective risk management.
Treasury can have very high positive or negative effects on business performance. Efficient processes, good analyses and reporting are required so that resources can focus on value-adding rather than time consuming activities.
Without good treasury management systems, effective treasury management is simply not possible.
Our solution is the STAR Treasury Management System. STAR is a complete treasury system, covering the full treasury business process – from front to back – including pre-deal, forecasting, dealing, and all the way through to settlement and account postings. Combined with comprehensive risk management capabilities and reporting, it provides a complete solution for effective treasury management.