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Connected treasury management for mid-to-enterprise global operations
GTreasury is a cloud-based treasury management system serving mid-market to enterprise companies with comprehensive cash management, debt and investment management, financial risk analytics, and bank connectivity. The platform's modular architecture enables companies to start with core cash visibility and expand into FX risk management, debt management, and working capital optimization as treasury sophistication grows. Cash management provides a consolidated view of bank balances across all banking relationships with automated bank statement import via SWIFT, bank APIs, and file formats. Cash forecasting aggregates treasury-managed cash flows with AR and AP data to project short-term liquidity needs and surplus positions. FX risk analytics track exposures by currency pair and entity, with hedge management workflows for forward, option, and swap contracts. Debt management tracks loans, credit facilities, and bond obligations with payment scheduling and covenant monitoring. Investment management handles money market funds, short-term investments, and portfolio tracking. Bank connectivity covers major US and international banks through proven formats and direct API integrations. GTreasury's HedgeLogic subsidiary provides hedge accounting analytics and IFRS 9/ASC 815 compliance documentation — a valued feature for companies with material FX exposure requiring hedge accounting treatment. The platform integrates with SAP, Oracle, NetSuite, and major ERP systems for GL posting and data synchronization. For growing companies establishing a formal treasury function or mid-market organizations seeking to replace manual cash management spreadsheets, GTreasury provides enterprise treasury capabilities at a more accessible price point than Kyriba.