BankS

The Clarity to Lead Your Clients Forward

Corporate treasuries face increasing pressure to manage more with fewer resources. To stay competitive, banks need to support clients with automation, visibility, and new processes. As banks realize they can't build everything in-house, many are turning to fintechs like GTreasury for white-labeled solutions and partnerships that drive revenue and minimize risk.

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How GTreasury Help Banks:

Expand Client Relationships

Offer a comprehensive suite of treasury solutions to deepen engagement, increase retention, and enable upsell opportunities.

Drive Revenue Growth

Differentiate by delivering tailored solutions that scale with clients, unlocking new revenue streams.

Enhance Brand Value

Provide cutting-edge technology under your trusted brand through our white-label options.

Leverage Best-of-Breed Technology

Access expert knowledge and regulatory compliance while ensuring seamless integration with bank systems and ERPs.

Fast Time to Market

Quickly implement GTreasury's solutions with minimal upfront investment, reducing risk and accelerating growth.

Comprehensive Treasury Management

Solutions That Resonate with Your Clients

Your clients face mounting pressures to achieve financial clarity and operational efficiency. GTreasury’s platform offers flexibility and depth to address their most pressing challenges:

Data-Driven Cash Flow Forecasting

Cash Visibility and Forecasting

A top priority for CFOs, GTreasury’s Cash Flow Forecasting solution can be offered as a white-labeled or referral model, tailored for both SMEs and larger clients. This scalable solution empowers clients to make data-driven decisions with accurate cash forecasts, ensuring they can optimize liquidity and plan effectively for future needs.

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Reduce FX Costs

Netting

Simplify invoice management and foreign exchange processes with GTreasury Netting, providing efficiency and enabling captive FX flows for banks. This platform helps multinational clients reduce FX volumes and streamline their internal payment processes, improving overall financial control and reducing transaction costs.

Mitigate Market Volatility

Risk Management

Help clients navigate complex markets with GTreasury’s risk solutions, gaining additional FX volumes and potential captive FX. By offering hedge accounting and risk management tools, banks can better assist clients in mitigating market volatility and improving financial resilience, all while enhancing the bank's FX business.

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Seamless Bank Integration

Connectivity

For multi-banked multinationals, GTreasury simplifies banking position visibility, enabling easier forecasting and financial management. By centralizing data from multiple banks and ERPs, GTreasury ensures clients can manage cash more effectively and gain actionable insights, reducing the risk of errors and improving overall operational efficiency.

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Comprehensive TMS Solutions

Treasury Management System

Offer our core TMS platform as a white-labeled or referral solution to complement or replace outdated bank systems, differentiating in RFPs and generating new income streams. This solution provides banks with a comprehensive treasury management offering, empowering clients with better liquidity management and more control over working capital, ultimately strengthening the bank-client relationship.

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seamless control, lower costs

Ready to Partner with GTreasury?

When you collaborate with GTreasury, you’re not just enhancing your offerings, you’re future proofing your business. With our expertise, technology, and commitment to innovation, you can confidently deliver treasury management solutions that set you apart in the marketplace.

Contact us today to explore how partnering with GTreasury can transform your business.

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Get connected with supportive experts, comprehensive solutions, and untapped possibility today.

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