FIS Integrity SaaS Treasury Management Solution

Learn more

Move Treasury and Risk Management to the Cloud

Manage both simple and complex treasury requirements – including cash positioning and forecasting, bank account administration, payments processing, foreign exchange, debt and investment management – as well as accounting, compliance and reporting for improved visibility and control around cash and risk with full connectivity to the treasury ecosystem via a centralized SaaS treasury management solution.

Empowering a Digital, Modern Treasury in the Cloud

Automate, centralize and secure critical treasury and risk functions in a secure, SaaS environment

Comprehensive Functionality

Basic cash positioning to complex hedge accounting.

Easy Integration

With ERPs, other specialized systems and with FIS’ Managed Bank Connectivity which operates as a certified SWIFT Service Bureau.

Lower Cost of Ownership

Greater standardization, faster implementation and an expert services team.


毎日配信される業界見識と主要な視点によって、競争上の優位性を得ることができます。 今すぐ登録