Financial Institution Cash Management

Money Market Funds for Financial Institutions

Liquidity management is central to operational resilience, client confidence, and regulatory compliance. Banks, asset managers, insurers, and similar institutions must balance client obligations, settlement activity, and short-term investment decisions, all within the constraints of prudential and regulatory liquidity requirements. This is compounded by the imperative to limit reliance on any single counterparty and to evidence sound liquidity risk management to regulators and clients.

Money market funds offer a proven solution: access to high-quality, diversified short-term instruments that preserve capital, mitigate counterparty risk, and maintain liquidity. Spreading exposure across a broad panel of underlying issuers, rather than a single bank, strengthens the institution’s liquidity risk framework while sustaining a competitive return on short-term balances.

How We Assist

Money Fund Market gives financial institutions direct access to leading institutional money market funds through a single online interface. Teams can monitor holdings, execute trades, and manage operations efficiently, with settlement and reporting fully automated. By consolidating what are typically multiple portals and systems, the platform delivers greater transparency, improved yield potential, and tighter control over cash positions.

Discover the Platform

By bringing institutional-grade liquidity solutions together on a single secure platform, Money Fund Market empowers banks, asset managers, insurers, and other financial institutions to manage cash and client funds more strategically, optimising safety, yield, and accessibility in today’s fast-moving financial markets.

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