Treasury Solutions
Superior treasury solutions help banks better manage risk.
Treasury management in banks is no longer just about managing operational cash flows, and banks today are seeking superior treasury solutions to help them adjust to this new reality. In the aftermath of the recent financial crisis, treasury operations have come to include enterprise-wide risk management tasks, and the right treasury solutions can help banks manage these additional responsibilities more easily. Smart treasury solutions can also help banks improve relationships with existing customers and acquire new corporate customers by offering value-added services that deliver complete visibility into risk and cash positions as well as liquidity requirements. For banks seeking industry-leading treasury solutions to take advantage of these new opportunities, SunGard offers Ambit Treasury Management.
Learn more about SunGard’s treasury solutions.
SunGard’s Ambit Treasury Management provides comprehensive treasury solutions.
SunGard’s Ambit Treasury Management systems provide front-to-bank office treasury solutions that help banks manage cash, liquidity and risk more easily and provide comprehensive solutions for their corporate customers. Banks can forecast projected cash flows based on real-time data, and improve transparency with real-time risk and regulatory reporting. SunGard’s solutions provide a wide range of asset classes, allowing banks to easily extend their service to customers as business grows. And Ambit Treasury Management is available on a hosted basis as a software-as-a-service offering, enabling banks with limited IT budgets and short time-to-market timeframes to access these leading treasury solutions.
Improve risk management with innovative solutions for treasury operations.
Built on an open and scalable architecture, Ambit Treasury Management enables banks to:
- Manage risk more effectively, including credit, market and operational exposure, with a complete and accurate view of risk exposure.
- Make better decisions faster with real-time visibility into cash and risk positions.
- Respond to market conditions with greater speed, using sophisticated strategies that involve multiple asset classes.
- Improve audit and compliance with real-time limit management.
- Reduce the cost of operations by automating transaction flows and connecting business processes with internal and external systems.
- Increase productivity by implementing a single STP solution that eliminates the need for reconciliation software to reconcile front and back office.
- Process more trades by seamlessly connecting to multiple systems in real time, including trade execution engines, market data feeds and third party systems.
- Get sophisticated deal capture, pricing, investment accounting and real-time portfolio management.
Learn more now about treasury solutions from SunGard, as well as reconciliation software for ATM reconciliation and confirmation matching.
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.