Manage collections, payments, liquidity, and reconciliation seamlessly with an API-driven, bank-agnostic CMS solution.

Our CMS platform is a next-generation treasury operations suite that empowers banks to offer corporate clients a seamless, self-service portal for managing cash flows from receivables and payables to liquidity and compliance. Delivered as a SaaS layer, it plugs directly into a bank’s core systems and the wider financial ecosystem.
For Banks
Grow fee income with value-added services
Boost sticky operating deposits (CASA)
Cross-sell trade, FX, and treasury products
Stand out with a modern, tech-first client experience
For Corporates
Cut reconciliation time by up to 80%
Improve cash visibility and forecasting
Reduce operational risk with smart workflows and controls
Get real-time visibility across all payments and collections
Works with any core banking system quick to deploy, easy to scale.
Pick and choose collections, payments, reconciliation, liquidity, cards activate only what you need.
Smart workflows, auto-reconciliation, contextual alerts, and rule-based processing.
Support for AML checks, KYC verifications, and full audit trails compliance made easy.
From ERP integrations to UPI, NEFT, RTGS, NACH, and more one suite for your entire cash lifecycle.