myDiapason Treasury Management System

from myDiapason

A treasury management software (TMS: Treasury Management System) is a modular platform that automates management of a company's financial flows. Beyond automating payment processing, it provides cash management, compliance monitoring, policy management, and financial reporting capabilities.
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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.

myDiapason Treasury Management System

Platforms that securely initiate, approve, and transmit payment instructions to banks through various channels including SWIFT, host-to-host connections, and APIs.

myDiapason Treasury Management System

Solutions that continuously monitor treasury activities against defined compliance rules and thresholds, generating alerts for potential violations.

myDiapason Treasury Management System

Systems that document, distribute, and track attestation to treasury policies and procedures, ensuring consistent application across the organization.

myDiapason Treasury Management System

Tools that produce regulatory and management reports from treasury data, including cash positions, risk exposures, and debt portfolio analytics.

myDiapason Treasury Management System

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