Treasury Finastra

Treasury & Capital Markets Solutions

Multi-Asset Trading, Risk Management and Treasury Management Solutions

Capital markets firms face a constantly evolving global and regulatory landscape, driving them to transform their IT infrastructure into something that delivers flexibility, scalability and transparency. Moving away from rigid, inadequate and disparate systems, capital markets firms must embrace new technologies that deliver greater return-on-investment.

Finastra’s treasury and capital markets solutions provide flexible, simple and open cross-asset solutions to provide more effective and efficient trading and treasury performance and processing, improved monitoring and reporting, and increased risk management. Leveraging more than 30 years’ experience in treasury and capital markets, our solutions help customers to extend their business capabilities, improve performance, and gain significant competitive advantage.

Capital markets firms can rely on our system agnostic solutions to realize a more coherent and flexible IT architecture with the option to leverage cloud capabilities. They benefit from an agile and cost-effective way to meet unknown but expected new regulations and other changes.

Our solutions deliver cross-enterprise transparency and visibility to achieve enterprise-wide consistency with integral analytics and business logic, giving banks the ability to act quickly with superior information. Quick and easy to deploy and customize, our solutions match banks’ specific needs, deploying incremental functionalities without the need for a platform upgrade and leveraging the banks’ existing solutions to add instant value and achieve immediate benefits.

Find out more about our treasury, risk, and trading solutions: