Treasury Management Systems
Treasury management systems help banks improve market share.
Banks looking for treasury management systems today are no longer interested only in systems that help manage operational cash flow. After the recent financial crisis, banks are looking for treasury management systems that can also help with risk management and liquidity management, providing complete visibility into risk and cash positions. Banks also want treasury management systems that can help them retain customers and attract new corporate clients, with superior treasury solutions that provide customers with value-added services to help them better understand their current and future liquidity requirements.
For banks seeking treasury management systems that can improve transparency with real-time risk and regulatory reporting, SunGard has the answer.
Learn more about treasury management systems from SunGard now.
SunGard’s Ambit Treasury Management – superior treasury management systems for banks.
SunGard’s Ambit Treasury Management systems offer banks a centralized front-to-back-office treasury operations solution with straight-through processing for improved risk, liquidity and cash management. SunGard’s solution provides a broad array of asset classes, helping banks improve their market share by extending comprehensive service to their customers. Ambit Treasury Management helps banks forecast projected cash flows, using real-time data and real-time risk and regulatory reporting that increase transparency. And because Ambit’s treasury systems are available as a software-as-a-service, even banks with tight IT budgets can utilize this innovative treasury management solution.
Improve risk management with systems for better treasury operations.
SunGard Ambit Treasury Management provides real-time connectivity and sophisticated tools that enable banks to:
- Connect in real-time to multiple systems, including market data feeds, trade execution engines and third party systems.
- Get a complete and accurate view of risk exposure with “what-if” scenario tools, VaR analysis, and a powerful real-time limit management system.
- Maximize return on available cash by using real-time, reconciled information to make decisions earlier.
- Manage domestic and global liquidity by accurately projecting future funding requirements and supporting strategic objectives.
- Act upon market conditions more quickly with sophisticated strategies that involve multiple asset classes.
- Integrate processes on a single platform to increase automation and lower per-transaction costs.
- Monitor and manage a consolidated range of risk with fully integrated risk management capabilities.
Ambit’s treasury management systems are built on an open and scalable architecture, making it a highly scalable solution that facilitates localizations, connectivity and new developments.
Learn more now about SunGard’s treasury management solution, as well as SunGard reconciliation software and derivatives reconciliation solutions.
SunGard’s Ambit software suite provides comprehensive solutions to corporate banks. Ambit’s treasury management systems provide front-to-bank office treasury solutions that help banks improve cash, risk and liquidity management. Ambit’s reconciliation solution helps manage complex real-time confirmation matching and reconciliation across all lines of business, including nostro reconciliation, ATM reconciliation and more. And Ambit’s lease management software provides a comprehensive leasing system that helps banks manage products, partners and applications more effectively.