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Maximize Corporate Liquidity and Manage Financial Risk

Day-to-day cash management is essential for profitable business operation – and it's a profit opportunity for financial institutions, generating billions in fees and balance income. FIS offers proven treasury management solutions for commercial and corporate banking institutions. Draw on the depth and breadth of our commercial banking suite, plus significant economies of scale, to help your institution:

  • Compete more cost-effectively
  • Keep up with escalating change
  • Strengthen client loyalty and attract new business clients
  • Implement and support new revenue-generating applications
  • Effectively manage financial risk

Treasury services available on an outsourced basis

FIS Treasury Solutions