Kyriba : Advanced Treasury Management Solution
Kyriba: in summary
Kyriba Trésorerie is a cutting-edge software designed for finance professionals seeking seamless treasury management. Aimed at corporate treasurers and CFOs, it offers real-time cash visibility, seamless connectivity, and financial risk management, distinguishing itself in the competitive landscape.
What are the main features of Kyriba Trésorerie?
Real-Time Cash Visibility
Gain comprehensive insights into your organisation's liquidity with Kyriba Trésorerie's real-time cash visibility feature. This functionality enables you to monitor cash positions across numerous accounts and geographies effortlessly.
- Access to live cash positions
- Consolidated view of all bank accounts
- Advanced forecasting tools
Seamless Connectivity
Ensure robust financial operations with Kyriba Trésorerie's seamless connectivity. By integrating with various financial institutions and ERPs, the software facilitates uninterrupted data flow and financial transactions.
- Bank and ERP integration
- APIs for custom connections
- Swift data synchronisation
Financial Risk Management
Mitigate risks effectively with Kyriba Trésorerie's financial risk management feature. This tool enables organisations to identify, assess, and manage financial risks through in-depth analytics and reporting capabilities.
- Comprehensive risk analytics
- Customisable risk reporting
- Scenario analysis and simulation
Its benefits
ISAE 3402, SSAE 16, GDPR, ISO 27001
Kyriba: its rates
Standard
Rate
On demand
Clients alternatives to Kyriba
Optimize your financial processes with desktop publishing software. Save time and increase efficiency with Esker | S2P & O2C.
See more details See less details
Esker | S2P & O2C is desktop publishing software that makes it easy to manage the buying and selling process. Thanks to its advanced features, you can automate repetitive tasks, reduce errors and improve the visibility of your financial operations.
Read our analysis about Esker | S2P & O2C
Streamline your treasury management with our software. Manage cash, liquidity, and risk with ease.
See more details See less details
Our treasury management system provides real-time visibility into cash positions, automates cash forecasting, and enables accurate risk management. With Fygr, you can optimize your cash management processes and make informed decisions about investments and financing.
Read our analysis about Fygr
Streamline your cash flow management with our Treasury Management System.
See more details See less details
Our software offers real-time cash visibility, cash forecasting, and automated financial reporting to help you make informed decisions and optimize your liquidity. Stay on top of your cash flow and anticipate future needs with ease.
Read our analysis about Irma Appvizer Community Reviews (0) The reviews left on Appvizer are verified by our team to ensure the authenticity of their submitters.
Write a review No reviews, be the first to submit yours.