Atlar Treasury Management System

from Atlar

A modern cloud-based Treasury Management System that centralizes payments, cash management, reporting, and accounting into one unified platform. Provides real-time visibility into bank balances, automated reconciliation, liquidity optimization, and enterprise-grade security with comprehensive audit trails.
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Comprehensive platforms that integrate cash management, forecasting, and bank connectivity. These systems provide real-time visibility into global cash positions, automate reconciliation processes, and manage internal and external cash flows.

Atlar Treasury Management System

Specialized tools leveraging AI and machine learning to predict future cash positions based on historical data, seasonality patterns, and business projections. These solutions help treasurers optimize working capital and investment decisions.

Atlar Treasury Management System

Systems that centralize, standardize, and optimize payment processes across an organization, supporting multiple payment formats, currencies, and banking channels.

Atlar Treasury Management System

Platforms that centralize the administration of corporate bank accounts, signatories, and mandate management across multiple financial institutions and jurisdictions.

Atlar Treasury Management System

Solutions that facilitate integration between treasury systems and external services such as banks, market data providers, and ERPs through modern API architectures.

Atlar Treasury Management System

Applications that maintain comprehensive logs of all treasury activities, supporting internal controls and external audit requirements.

Atlar Treasury Management System

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