Our team has been partnering with treasury functions for over 20 years.
We're not tied to any single asset manager, our role is to help you find the right fund for your treasury.
Client assets sit with FCA-authorised custody, fully segregated and protected.
A single onboarding gives you access to every fund on the platform. No separate KYC with each fund manager.
Review credit ratings, fund sizes and other data points from HSBC, J.P. Morgan, BlackRock and more, side by side.
Place trades into the funds that fit your treasury policy, then monitor holdings and analytics across managers in one view.
Efficient and user-friendly trading tools, allowing you to transact across multiple managers, currencies and maturities.
Learn moreCreate custom guidelines, alerts and trade monitoring rules. View potential risk factors and configure your company’s treasury policy.
Learn moreReport and analyse exposure across counterparties, geographies, sectors, security types, and more.
Learn moreIntegration to meet your treasury requirements, including position and transaction feeds to internal and external systems.
Learn moreA qualified, dedicated relationship manager focused on understanding and supporting your requirements.
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Get in touch today to schedule a demo and access the tools you need to manage cash balances securely and effectively.
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