Commercial Banking

Treasury & Liquidity Management

Leverage More Value Out of Your Treasury Operations

A bank’s treasurer plays a central role in the institution’s daily operations and viability as well as in its long-term profitability.

FIS offers centralized treasury management solutions for cash management, liquidity, FX, risk, trading and more. We also provide commercial treasury solutions to support payments, account analysis and statements, plus outsourced treasury management solutions that include managed bank connectivity that you can provide to your commercial customers. Now you can streamline your treasure operations, standardize workflows, and find opportunities to make the most of your institutions liquidity and capital.

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