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Treasury management solution designed specifically for fund managers. Features include cash optimization, liquidity management, FX hedging, cash sweeps, counterparty management, and reconciliation. Provides consolidated cash visibility across multiple prime brokers, custodians, and bank accounts.
Software for monitoring, forecasting, and optimizing cash positions across accounts and currencies to support investment activities, fund redemptions, and operational needs.
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Multi-Bank Connectivity Ability to connect with and aggregate data from multiple banking institutions. |
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Custodian Integration Interface for direct data feeds from fund custodians. |
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Internal System Integration APIs/connectors for integration with fund accounting and portfolio systems. |
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SWIFT Compatibility Supports SWIFT messaging for secure international fund transfer. |
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API Availability Availability of APIs for custom and automated integrations. |
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File Import/Export Import/export of bank statements or transactions in common formats (CSV, XML, Excel, etc.). |
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Real-Time Data Sync Capability for retrieving and updating balances/transactions in real time. |
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Manual Data Entry Options System allows manual override or entry of account data as backup. |
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Single Sign-On (SSO) Supports single sign-on across connected systems. |
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Multi-Factor Authentication Support Enhances security when connecting to banking partners. |
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Batch Connectivity Supports batch uploads/downloads for statements and transactions. |
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Automated Data Reconciliation System automatically matches internal and bank records. |
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Real-Time Balance Display Displays up-to-date cash balances across all accounts. |
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Multi-Currency Support Monitors balances in multiple global currencies. |
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Consolidated Cash View Aggregated balance reporting for all linked accounts. |
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Customizable Dashboards User can configure dashboards for tailored cash insights. |
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Intraday Balance Tracking Tracks balance changes over the course of the day. |
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Cash Position by Legal Entity Ability to view and break down cash positions at the entity or fund level. |
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Historical Cash Position Reporting Access to past cash positions for analysis and comparison. |
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Alerting for Thresholds System can alert users to high/low balances or overdrafts. |
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Cash Concentration Reporting Analyzes and reports on the concentration of cash in specific accounts/regions. |
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Mobile Access Dashboards and cash positions can be securely viewed via mobile devices. |
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Visualization Tools Supports charting/graphing for cash trends and comparisons. |
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Number of Supported Currencies How many distinct currencies can be managed in the system. |
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Automated Cash Forecasting Engine Generates predictions of cash needs and surpluses. |
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Scenario Modelling Allows users to run what-if analyses across various scenarios. |
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Incorporation of Market Events Ability to include market or fund triggers into forecasts (e.g., redemptions, capital calls). |
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Historical Trend Analysis Uses previous cash movements to improve forecast accuracy. |
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Forecast Horizon Flexibility Number of future days/weeks/months that can be forecasted. |
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Overdraft/Shortfall Prediction Flags likely shortages in upcoming periods. |
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Machine Learning Capabilities Uses advanced algorithms for predictive analytics. |
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Integration with Transaction Calendar Aligns forecasts with scheduled payments or receipts. |
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Automated Adjustment for FX Movements Adjusts forecasts for expected or simulated currency fluctuations. |
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Drill-Down Forecasts by Account/Region Ability to forecast at various levels of detail. |
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Payment Initiation Users can create and send payment instructions from the platform. |
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Automated Sweeps Automatic movement of cash based on pre-set rules (e.g., cash pooling, zero-balancing). |
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Bulk Payment Processing Support for executing multiple payments in batches. |
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Payment Approval Workflows Multi-step approval chains before payments are released. |
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Outsourced Payment Support Capability for third-party administration or shared services. |
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Payment Cut-Off Time Awareness System recognizes and manages payments according to bank cut-off times. |
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Efficient Settlement Speed Average time from initiation to payment settlement. |
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Confirmation & Status Tracking Real-time status and confirmation of payment execution. |
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Integration with FX Trading Platforms Can execute FX trades to support multi-currency payments. |
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Payment Templates Template storage for commonly recurring payment types. |
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Automated Reconciliation of Transactions Links payments to accounting and automatically reconciles cleared items. |
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Audit Trails on All Transactions Comprehensive audit trail for every transaction and approval. |
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Cash Pooling Structures Supports notional or physical cash pooling across accounts/entities. |
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Automated Idle Cash Identification Identifies surplus balances for redeployment or investment. |
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Liquidity Buffer Calculations Recommends ideal cash reserves for operational requirements. |
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Short-Term Investment Integration Facilitates instant investment of idle cash (e.g., in MMFs or short-term deposits). |
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Liquidity Stress Testing Runs stress scenarios on liquidity positions. |
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Real-Time Liquidity Dashboard Visual tool for monitoring current liquidity levels. |
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Customizable Investment Policy Rules Impose rules/limits for liquidity management based on fund mandates. |
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Automated Fund Transfers Automatically reallocates cash between accounts as needed. |
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Idle Cash Ratio Measures the proportion of idle to total available cash. |
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Notifications for Suboptimal Liquidity Alerts if liquidity falls outside target thresholds. |
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User Access Controls Advanced permission management based on user roles and responsibilities. |
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Audit Logs Comprehensive logs tracking all system access and transactions. |
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Compliance Checklists Built-in or customizable checklists for key regulatory requirements. |
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Segregation of Duties Support Prevents conflicting roles and process steps from being assigned to the same user. |
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Anti-Money Laundering (AML) Screening Supports AML/KYC checks for counterparty payments. |
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Sanctions Screening Automated screening of transactions/beneficiaries against global sanctions lists. |
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Regulatory Reporting Automation Generates required reports for regulators with minimal manual intervention. |
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Risk Limit Alerts Notifies users if exposures approach or breach pre-set limits. |
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Change Management Tracking Monitors and logs changes to system configurations and data. |
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Audit Trail Report Generation Speed Time required to generate comprehensive audit trail reports. |
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Compliance Rules Customization Ability to add/modify compliance logic as laws and policies change. |
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Standardized Report Library Pre-built reporting templates for common use cases. |
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Custom Report Builder Users can create tailored reports from system data. |
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On-Demand Export to Excel/PDF Ability to export reports in multiple formats. |
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Automated Scheduled Reporting Reports generated and distributed per schedule. |
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Flexible Date Ranges Allows selection of any reporting period. |
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Drill-Down/Drill-Through Ability to drill down to transactional details in reports. |
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Data Visualization Tools Dashboards and visualizations for trends, outliers, and comparisons. |
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Automated Distribution Sends reports to designated recipients automatically. |
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Ad-Hoc Query Support Users can define and run custom data queries. |
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Data Retention Period How long historical reports and data are retained by the system. |
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Intuitive User Interface Designed for ease of navigation and understanding. |
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Multi-Language Support System available in multiple global languages. |
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Role-Based Dashboards Personalized views based on user function or department. |
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Advanced Search & Filter Powerful tools to quickly locate transactions or information. |
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Context-Sensitive Help User assistance and tooltips available in relevant screens. |
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Mobile-Friendly Design Optimized for access via smartphones and tablets. |
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Accessibility Standards Compliance Meets accessibility guidelines (e.g., WCAG, ADA). |
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Concurrent User Support Number of users who can simultaneously access the system. |
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Customizable Notification Preferences Users can control which system alerts and communications they receive. |
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Time Zone Awareness Displays times/dates in the user’s local time zone. |
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End-to-End Encryption Encrypts data at rest and in transit. |
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Multi-Factor Authentication Requires two or more authentication factors for system access. |
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Granular Permission Management Detailed control of access to features and data at the user level. |
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Data Masking & Redaction Sensitive information is hidden from unauthorized users. |
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Security Event Monitoring System logs and monitors for suspicious activities. |
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Disaster Recovery & Backup Automated, regular backups and verified recovery plans. |
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Security Certifications (e.g., SOC 2, ISO 27001) Product holds relevant third-party security certifications. |
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Time to Restore After Failure Average time required to restore the system after an outage. |
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Penetration Testing Frequency How often the system is tested for security vulnerabilities. |
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Data Residency Options Ability to specify which country/region data is stored in. |
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Implementation Timeline Typical time to complete setup and go-live. |
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Dedicated Account Manager Access to a named support/account specialist. |
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24/7 Technical Support Support team is available around the clock. |
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Online Knowledge Base Extensive online help and documentation. |
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Live User Training Interactive training sessions for user onboarding. |
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System Uptime SLA Guaranteed system uptime percentage. |
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Customizable Onboarding Plan Tailored onboarding steps for specific fund structures. |
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Periodic System Health Reviews Scheduled review and tuning of system performance. |
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User Feedback Mechanism Users can submit feedback or system improvement suggestions. |
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Integration Support Services Vendor assistance in interfacing with third-party systems. |
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Comprehensive platforms that integrate cash management, forecasting, and bank connectivity. These systems provide real-time visibility into global cash positions, automate reconciliation processes, and manage internal and external cash flows.
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Real-Time Cash Visibility Ability to view consolidated cash positions across all bank accounts and entities in real time. |
Product claims consolidated cash visibility across multiple accounts, prime brokers, and custodians, which implies real-time or near real-time aggregation. | |
Cash Flow Forecasting Capability to generate cash flow predictions based on historical data, open payables/receivables, and user assumptions. |
Cash optimization and forecasting are listed as primary use cases for funds; cash flow forecasting is integral to this. | |
Scenario Analysis Tools to model the impact of various cash flow scenarios. |
Scenario modeling is core to liquidity and cash optimization described in marketing materials. | |
Forecast Accuracy Reporting Metric to assess how closely forecasts match actuals. |
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Automated Bank Data Integration Direct feeds from banking partners for daily or intraday balance updates. |
Direct bank, prime broker, and custodian data feeds referenced on website imply automated integration. | |
Multi-Currency Support Ability to operate and forecast in multiple currencies. |
Multi-currency support referenced as a feature for managers operating globally. | |
Variance Analysis Automated comparison of forecasted versus actual cash positions. |
Cash/position reconciliation and comparisons between forecast and actual is mentioned under reconciliation functionality. | |
Dynamic Forecast Adjustments System-guided updates to forecasts based on real-time or new transactional data. |
Described as updating cash projections automatically as new data is received. | |
Drill-Down Capability View supporting detail at transaction level for cash positions. |
Transaction-level drill-down noted for investigation and audit/compliance purposes. | |
Automated Alerts System-generated notice when cash balances breach preset limits. |
Automated balance alerts described in feature list for cash management oversight. | |
Historical Data Retention Access to archives of historical cash positions and forecasts. |
Historical data retention and archiving referenced to support audits and analysis. | |
Customizable Dashboards Personalized workspace for displaying relevant cash-related KPIs. |
Customizable dashboards and KPIs called out for user personalization. |
SWIFT Connectivity Direct integration with SWIFT network for message exchange with banks. |
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Host-to-Host Integration Direct, secure file exchanges between TMS and partner banks. |
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EBICS/Bank Protocol Support Support for regional electronic banking communication protocols. |
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Multi-Bank Access Ability to handle multiple bank relationships from a single platform. |
Multi-bank/custodian/prime broker access supported as a main category of the platform. | |
Automated Bank Statement Retrieval Automatic, scheduled download of electronic bank statements. |
Automated statement retrieval referenced for bank/broker data feeds. | |
Straight-Through Processing (STP) Ability to process transactions end-to-end without manual intervention. |
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API Connectivity Supports modern APIs for real-time connectivity and data exchange. |
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Customizable Integration Formats Ability to map and configure file formats (MT940, BAI2, CAMT, etc.). |
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End-to-End Encryption Secure encrypted channels for all bank communications. |
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Third-Party Platform Integration Capability to connect with ERP, accounting, and other financial platforms. |
Integration with fund accounting/ERP and other platforms described on website. | |
Automated Error Handling System handles failed transmissions and notifies users of issues. |
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Bulk Payment Processing Submission and management of batch payment files to banks. |
Bulk payment/batch transaction processing is common in TMS and is referenced in payments automation messaging. | |
Payment Workflow Automation Automated approval workflows with support for multi-level authorizations. |
Payment workflow automation with multi-level approvals mentioned for control and compliance. | |
Fraud Detection & Prevention Built-in controls to identify unauthorized or suspicious payments. |
Fraud controls and suspicious activity detection described in payment workflow security. | |
Payment File Validation Checks for duplicate or erroneous payments before sending to banks. |
Payment validation to check for errors and duplicates mentioned as part of controls. | |
Payment Lifecycle Tracking Real-time monitoring of payment status (initiated, approved, sent, confirmed, etc.). |
Tracking of payments across the lifecycle referenced for transparency and audit. | |
Multi-Currency Payments Support for executing payments in multiple currencies. |
Multi-currency payments called out in list of supported features. | |
Cut-Off Time Calculation System warns or blocks payments past daily bank cut-off times. |
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Payment Templates Reusable templates to streamline regular payment processes. |
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Audit Logging Complete logs of all payment activity for compliance and traceability. |
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Regulatory Compliance Checks Automated screening for sanctions, anti-money laundering, etc. |
Regulatory compliance checks including AML referenced in payments and onboarding risk checks. | |
Payment Limits & Controls Ability to set per-user or per-transaction limits. |
Role-based payment limits and user controls featured as part of compliance. |
Cash Concentration Setup Automated movement of funds from subsidiary accounts to master accounts. |
Cash concentration and pooling among fund/subfund accounts featured. | |
Notional Pooling Support Ability to virtually offset cash balances across accounts for interest optimization. |
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Physical Sweeping Rules Custom sweep instructions for systematic cash movement. |
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Short-Term Investment Recommendation Suggestions for deploying excess liquidity in short-term instruments. |
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Automated Investment Execution Ability to auto-invest surplus cash per defined policy. |
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Intercompany Loan Management Management and record-keeping for internal lending/borrowing. |
Intercompany/related fund loan management featured for fund structures. | |
Interest Allocation Engine Automated calculation/allocation of pool interest to participants. |
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Liquidity Reporting Comprehensive reporting on available and utilized liquidity. |
Liquidity reporting and monitoring a central function of Hazeltree TMS. | |
Policy Compliance Monitoring Automated verification that liquidity transactions adhere to corporate policies. |
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Real-Time Pool Position Instantaneous view of pooled cash positions. |
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Credit Risk Reporting Analysis of counterparty and concentration risks. |
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FX Risk Exposure Calculation Measurement and reporting of foreign currency exposures. |
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Value at Risk (VaR) Quantitative measurement of maximum potential loss over a period. |
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Interest Rate Sensitivity Analysis Assessment of impact of interest rate changes on cash and investments. |
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Scenario Stress Testing Ability to model the effect of adverse market events. |
Scenario and stress testing on liquidity and cash is detailed as a best-practice use of the solution. | |
Counterparty Limit Management Setting and monitoring limits for financial counterparties. |
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Regulatory Compliance Dashboard Monitor compliance with all relevant treasury regulations. |
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Custom Analytics & KPIs Design and track custom risk metrics. |
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Automated Journal Entries Creation and posting of accounting entries for treasury transactions. |
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ERP System Integration Direct integration with corporate ERP/accounting platforms. |
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Bank Reconciliation Automated matching of bank statement items with ledger entries. |
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Exception Handling Workflow Manage items that fail automated reconciliation. |
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Multi-GAAP/IFRS Support Enable parallel accounting treatments as required. |
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Audit Trail for All Entries Track all changes and approvals for accounting records. |
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Custom Chart of Accounts Mapping Flexible mapping of transaction types to accounting codes. |
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Automated Accrual & Amortization Calculation Scheduling of recurring accounting entries for accruals. |
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Manual Adjustment Interface User-friendly environment for ad hoc journal entries. |
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Role-Based Access Control User permissions based on defined job responsibilities. |
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Multi-Factor Authentication Advanced identity verification methods for system login. |
Multi-factor authentication shown as a supported security function. | |
Audit Logging Record of all user activity for compliance and review. |
Audit logging is emphasized for compliance and operational best practices. | |
Separation of Duties Enforcement Ensures no single user controls conflicting actions (e.g., initiation and approval). |
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Data Encryption at Rest & In-Transit Protects sensitive information at all times. |
Data is encrypted both in transit and at rest, per security documentation on vendor’s site. | |
Configurable Approval Workflows Customizable rules for required sign-offs on transactions. |
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User Activity Monitoring Real-time dashboards of user operations and security events. |
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Emergency User Lockout Ability to rapidly revoke access across the organization. |
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Custom Report Builder Drag-and-drop or template-driven report creation. |
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Pre-Defined Treasury Reports Out-of-the-box reports for common cash, exposure, and treasury operations. |
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Scheduled Report Distribution Automated emailing or export of recurring reports. |
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Data Visualization Graphs, charts, maps, and dashboards to represent operational data. |
Dashboards and visualizations called out as standard for monitoring KPIs and liquidity. | |
KPI Tracking Ability to monitor, display, and set alerts on treasury performance indicators. |
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Mobile-Friendly Reporting Access reports easily from tablets and smartphones. |
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Ad Hoc Query Tools Search and pivot treasury data on demand. |
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Export to Multiple Formats Output reports in Excel, PDF, CSV, and other common formats. |
Exports to Excel, PDF and other formats shown in demo screenshots and documentation. | |
Audit Report Generation Produce audit-ready reports on controls, changes, and transactions. |
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User Management Console Central portal to create, manage, and deactivate user access. |
User management is explicitly mentioned as an admin/control feature. | |
Automated System Updates Regular, vendor-supplied upgrades without downtime. |
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Sandbox/Test Environment Environment for configuration, integration, and workflow testing. |
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Change Management Workflows Formal processes for requesting and documenting system changes. |
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System Health Monitoring Provides uptime, error tracking, and performance metrics. |
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Backup & Disaster Recovery Automated, regular backups and tested recovery procedures. |
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Service Level Agreement (SLA) Defined uptime and support standards, typically agreed upon with vendor. |
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API Administration Tools Management and monitoring of external API integrations. |
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Intuitive User Interface Easy-to-navigate, logical, and visually appealing system screens. |
Modern, intuitive UI is a key differentiator cited in Hazeltree product descriptions. | |
Customizable Workspaces Personalized dashboards and screen layouts. |
Dashboards and workspaces are noted as customizable per user/team. | |
Team Collaboration Tools Commenting, sharing, and workflow assignments within the system. |
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Multi-Language Support Localized language options for global teams. |
Multi-language/localization options are shown for global fund managers. | |
Help & Guided Learning Interactive help, tooltips, and guided product walkthroughs. |
User guidance and help features are promoted for usability and onboarding. | |
Mobile App Access Native or web-based mobile applications. |
No information available | |
Accessibility Compliance Support for WCAG/ADA accessibility standards. |
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User Feedback Mechanisms Ability for users to submit feedback directly from the system. |
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Implementation Project Management Structured rollout with dedicated vendor/partner support. |
Dedicated project management for new clients is listed in implementation services. | |
Dedicated Support Team Tiered help desk and escalation procedures. |
Dedicated support and escalation process detailed on support page. | |
Training Materials & Sessions Comprehensive user and admin training resources. |
Training and onboarding assistance referenced as part of customer experience. | |
Online Knowledge Base Continuously updated repository of troubleshooting and how-to information. |
Online documentation and knowledge base offered for troubleshooting and learning. | |
Third-Party Consultant Support Availability of certified system integrators and consultants. |
Hazeltree partners/certified integrators mentioned for consultancy. | |
Customizable Onboarding Programs Tailored onboarding processes to fit organizational structure. |
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Customer Community Forums User-to-user support and product improvement discussions. |
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24/7 Support Availability Round-the-clock customer service access. |
24/7 support availability featured as part of enterprise support. |
Applications that facilitate physical and notional cash concentration structures, enabling efficient liquidity management across multiple entities and accounts.
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Multi-bank Support Ability to interface with multiple banks simultaneously. |
Hazeltree offers consolidated visibility across multiple bank accounts and institutions per product documentation. | |
Multi-currency Support Enables pooling and reporting across different currencies. |
Product overview and use cases mention liquidity and pool management across multiple currencies. | |
Hierarchical Account Structures Set up parent-child account relationships for cash concentration or notional pooling. |
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Account Opening Automation Automated workflow for account creation and setup. |
Account creation and onboarding workflow is automated for large fund clients (from product resources and datasheet). | |
Bulk Account Import Upload and register multiple accounts via bulk import features. |
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Account Status Tracking Monitor account status (active, closed, restricted). |
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Account Limit Configuration Ability to set transaction or balance limits on individual accounts. |
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Sub-account Management Ability to create and manage sub-accounts for segregated reporting. |
Supports sub-accounts and segregated reporting typical to fund management environments. | |
Real-time Account Updates Frequency at which the system updates account balances. |
No information available | |
Historical Account Data Access Ability to retrieve historical data on any managed account. |
Includes historical cash activity, reporting, and analytics for accounts. | |
Virtual Account Structures Ability to create and manage virtual accounts for operational flexibility. |
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User-defined Account Groups Group accounts as per business requirements for pooling and reporting. |
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Bank Mandate Management Digitally manage mandates for account signatories. |
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Automatic Bank Statement Reconciliation Ability to reconcile incoming bank statements to pool balances automatically. |
Hazeltree platform supports reconciliation against incoming bank statements, including automated reconciliation processes. |
Physical Pooling Support Supports cash concentration/physical centralization of funds. |
Supports cash sweeps and centralized cash management—physical pooling is referenced throughout platform materials. | |
Notional Pooling Support Supports notional/interest offset pooling across accounts without physical cash movement. |
Notional pooling and interest offset structures are part of the liquidity optimization tools Hazeltree offers. | |
Hybrid Pooling Combines both physical and notional pooling structures. |
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Regional and Global Pooling Supports multiple pools across regions or globally. |
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Flexible Pool Hierarchies Ability to create hierarchical or non-hierarchical pool structures. |
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Intercompany Netting Rules Configure netting rules between participating entities. |
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Automated Sweeps Automatic movement of cash per predefined sweep rules. |
Automated sweeps are described as a core feature for cash optimization. | |
Sweep Frequency Frequency at which sweeps are executed. |
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Threshold Management Set minimum/maximum thresholds for pooling or sweeping. |
Threshold and rules-based management for cash optimization and sweep triggers mentioned in solution brief. | |
Automated Triggers Set up scenario-based automated cash movement triggers. |
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Customizable Pooling Rules Full flexibility to define and edit pooling rules. |
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Exclusion/Inclusion Criteria Defines criteria for including or excluding accounts from pools. |
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Intraday Pooling Calculation Calculate pooled positions and interest intraday. |
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Liquidity Sharing Parameters Define parameters for sharing liquidity among participants. |
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Cross-border Pooling Supports pools including accounts in different jurisdictions. |
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Automated Book Transfers Perform internal book transfers based on pooling rules. |
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Intercompany Loan Management Create, reconcile, and report on intercompany loans generated by pooling. |
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Intraday Transaction Processing Support for multiple processing cycles within the same day. |
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Bulk Payments and Receipts Handle large volumes of payment and receipt transactions in batch. |
Bulk payments and batch transaction handling referenced as part of operational efficiency improvements. | |
Transaction Approval Workflows Configurable workflows for approving movements. |
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Reversal Management Easily reverse erroneous cash movements. |
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Automated Bank Instruction Generation Auto-generate bank instructions for movement of funds. |
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MT/MX Message Support Supports SWIFT MT and MX message formats for cross-bank transactions. |
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Transaction Processing Speed Average time to process a transaction. |
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Transaction Audit Trails Automatically records all details and changes per transaction. |
Hazeltree maintains detailed transaction records and audit trails for compliance—featured in documentation. | |
Cut-off Time Management Configurable daily cut-off times for cash movements. |
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Transaction Limits Set and enforce transaction amount limits per user/account. |
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Real-time Transaction Status Updates Real-time updates of transaction processing status. |
Real-time transaction status provided as part of workflow and dashboard functionality. | |
Fee and Charge Allocation Allocate bank fees and charges arising from transactions to accounts/entities. |
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Interest Calculation Engine Automated calculation of internal/home bank/external interest on pool balances. |
Interest calculation and allocation are part of the platform, with automated internal/external rate calculations. | |
Configurable Interest Rules Flexible set up of interest rate rules per entity or account. |
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Multi-rate Support Ability to apply different rates for credit/debit/neutral balances. |
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Daily Interest Accrual Support for daily accruals across pool participants. |
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Interest Settlement Frequency Configurable interest settlement times (e.g., daily, monthly). |
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FX Impact Calculations Calculate and allocate FX impacts on interest where relevant. |
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Interest Adjustment/Correction Workflow Workflow for correcting calculated interest. |
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Tax Withholding Support Automatically calculates and withholds tax on interest where required. |
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Interest Statement Generation Generates and distributes detailed interest statements. |
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Simulation and Forecasting Simulate future interest allocations based on modeled scenarios. |
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Backdated/Retroactive Calculations Easily generate and correct interest for historical periods. |
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Customizable Allocation Logic Allows interest allocation according to custom business logic. |
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Legal Entity Reporting Interest allocation visibility per legal entity across the group. |
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Real-time Liquidity Dashboards Dynamic dashboards showing current cash and liquidity positions. |
Dynamic dashboards show cash, liquidity, and risk positions in real time as per product demos and website. | |
Cash Flow Forecasting Generate forward-looking forecasts using historical and projected data. |
Cash flow forecasting indicated in solution features—forward projections using historical data. | |
Scenario Analysis Run what-if scenarios to model impact on liquidity. |
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Variance Analysis Analyze forecasted vs. actual movements and balances. |
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Graphical Trend Analysis Visual representation of trends and key metrics. |
. | No information available |
Data Export and Integration Download, export, or API access to liquidity data for further analytics. |
. | No information available |
Exception Reporting Automated alerts for liquidity shortfalls, overages, and unusual activity. |
. | No information available |
Custom KPI Configuration Define and monitor custom liquidity KPIs. |
. | No information available |
Forecasting Accuracy Metrics Monitor and report accuracy of forecast models. |
. | No information available |
Machine Learning Integration Use ML algorithms to improve liquidity forecasting. |
. | No information available |
Data Granularity Minimal time interval for forecasting/analytics. |
. | No information available |
Role-Based Access Control Assign granular permissions based on user roles. |
Role-based permission management (RBAC) described for user/access management. | |
Single Sign-On (SSO) Support Integrate with enterprise authentication solutions. |
. | No information available |
Two-Factor Authentication Secure access to the system by requiring two factors for login. |
. | No information available |
Audit Trail and Logging Comprehensive audit logs for all user actions. |
. | No information available |
User Creation/Deactivation Automation Automated workflows for onboarding and offboarding users. |
. | No information available |
Customizable Password Policy Define and enforce password complexity and change rules. |
. | No information available |
Encryption of Sensitive Data Ensures all sensitive data is fully encrypted in transit and at rest. |
Sensitive data is encrypted in transit and at rest; security section emphasizes compliance with major standards. | |
Session Timeout Configurable maximum duration before user session expires. |
. | No information available |
Segregation of Duties Enforce separation of critical responsibilities among users. |
. | No information available |
Access Certification Processes Regular review and certification of user access rights. |
. | No information available |
Bank Connectivity (Host-to-Host, SWIFT, API) Multiple supported interfaces for connection to partner banks. |
Integration with multiple banks via SWIFT and API connectivity confirmed in integration documentation. | |
ERP Integration Real-time and scheduled data transfer to/from major ERP platforms. |
Native integration with major ERPs and treasury platforms as part of enterprise deployments. | |
File Format Flexibility Support for multiple file formats: CSV, XML, BAI2, MT940, ISO 20022, etc. |
. | No information available |
Automated Data Import Ability to schedule regular automatic data imports. |
. | No information available |
Open API Availability Availability of open APIs for third-party integrations. |
Open APIs and developer documentation available for third-party integrations. | |
Event-based Data Push Ability to trigger outbound communications based on system events. |
. | No information available |
Integration Monitoring Dashboard Monitor real-time status of integrations/connections. |
. | No information available |
Error Handling & Notification Automated detection and notification of integration failures. |
. | No information available |
Custom Data Mapping Define custom mappings between system fields and external formats. |
. | No information available |
Latency for External Data Ingestion Average time to process inbound data from external sources. |
. | No information available |
Entity and Jurisdiction Configuration Ability to configure legal entities and jurisdiction-specific rules. |
. | No information available |
Audit-ready Reporting Built-in reports meet common audit and compliance standards. |
Audit-ready and compliance reporting are highlighted for treasury and fund regulatory regimes. | |
Transfer Pricing Module Manages and documents transfer pricing policies and adjustments. |
. | No information available |
Tax Compliance Reporting Automated preparation of tax-related compliance reports. |
. | No information available |
Sanctions Screening Screening of counterparties for compliance with sanctions lists. |
. | No information available |
GDPR/Data Privacy Compliance Support for global data privacy regulations (e.g., GDPR, CCPA). |
GDPR and global data privacy compliance addressed in Hazeltree compliance resources. | |
SOX Compliance Supports Sarbanes-Oxley (SOX) compliance processes. |
. | No information available |
Internal Controls Documentation Document and enforce the setup of internal controls. |
. | No information available |
Document Management Manage and attach compliance-related documents per pool/entity. |
. | No information available |
Regulatory Update Notifications Automated notifications for regulatory changes affecting pooling. |
. | No information available |
Standardized Reports Pre-built standard reports for common cash pooling metrics. |
Standardized reports for all major cash pooling and treasury use cases are included. | |
Custom Report Builder Design and schedule custom reports for any pool data. |
Report builder and ad hoc querying supported per product datasheet. | |
Scheduled/Automated Reporting Automatic generation/distribution of reports on schedule. |
. | No information available |
Drill-down and Traceability Drill into report items down to transaction detail. |
. | No information available |
Report Export Options Export reports in PDF, Excel, CSV, other formats. |
Reports can be exported in multiple formats (PDF, Excel, CSV). | |
Data Visualization Tools Integrated dashboards, charts, and visual analysis tools. |
. | No information available |
Ad Hoc Query Capability Query pool data with user-defined criteria. |
. | No information available |
User Activity Reports Generate and review logs for all user actions. |
. | No information available |
Data Retention Settings Configure report/data retention periods as per policy. |
. | No information available |
Regulatory and Audit Logs Compliant system logs ready for audit purposes. |
. | No information available |
Concurrent User Support Number of users system can support concurrently without degradation. |
. | No information available |
Transaction Throughput Peak transaction capacity per second. |
. | No information available |
Average System Response Time Average time to respond to typical user requests. |
. | No information available |
Maximum Pool Size Supported Maximum number of accounts/entities in a single pool structure. |
. | No information available |
High Availability/Failover Support for high availability and system failover procedures. |
. | No information available |
Batch Processing Windows Minimum batch window needed for end-of-day processes. |
. | No information available |
Disaster Recovery Support Documented procedures and technical support for disaster recovery. |
. | No information available |
Load Balancing Capabilities Support for scaling across multiple servers or data centers. |
. | No information available |
Performance Monitoring Dashboard Real-time dashboard for monitoring system performance KPIs. |
. | No information available |
Data Archiving Capability Automatic archiving of historical data to maintain performance. |
. | No information available |
24/7 Support Availability Round-the-clock access to technical support resources. |
24/7 technical support availability is referenced in SLA and support contracts. | |
Onboarding and Training Programs Structured onboarding and continuous training for users. |
Onboarding and continuous training programs described in the services section. | |
Knowledge Base/Documentation Comprehensive user guides, FAQs, and online help. |
. | No information available |
Dedicated Account Manager Assigned point of contact for each client or region. |
. | No information available |
Service Level Agreements (SLAs) Contracted commitments regarding uptime, response, and resolution times. |
SLAs are discussed as part of the service and solution agreement. | |
Multi-language Support Multi-language UI and documentation options. |
. | No information available |
Customer Community Forums Access to discussion forums and peer communities. |
. | No information available |
Regular Product Updates and Upgrades Frequent and seamless system improvements. |
. | No information available |
Issue Escalation Procedure Clear escalation path for unresolved issues. |
. | No information available |
User Feedback Management Systematic collection and prioritization of user feedback. |
. | No information available |
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