Fyorin for treasury department
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Treasury Managers

The Control Station for Modern Treasury Teams

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    Gain a 100% view of cash position across all subsidiaries, banks, and currencies
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    Diversify liquidity risks seamlessly across global institutions with a single onboarding
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    Improve liquidity performance by automating treasury tasks

Secure, Efficient and User-Friendly Solution for Treasury Managers

We delivers a complete in-house banking solution helping you centralise your cash, automate treasury operations and let you manage liquidity and FX risk with ease. Unlock the potential of your treasury with a platform built for growth, agility, and strategic decision-making.

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Manage Cash & Treasury Globally from One Platform

Simplify complex treasury processes by consolidating all financial data into a single dashboard. Connect with over 5,000 banks worldwide, aggregate multi-currency accounts, monitor cash positions and treasury automate treasury operations from one platform
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Gain 360° Visibility of your Treasury

Get real-time insights into your cash, spending, and revenue across multiple banks, currencies, and entities. Our platform consolidates all your financial data under one roof.
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Act Fast with Real-Time Treasury Insights

Respond swiftly to market trends and treasury insights. Make informed decisions based on rich, real-time data to keep your business ahead of the curve and set for growth.
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Simplify Diversification of Liquidity Risk

Spread your liquidity across institutions and regions with one onboarding. Access a global network of Tier 1 financial partners to reduce institutional and FX-related risks.

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Manage Multiple Banks as One

Eliminate global banking complexity by managing all your accounts and payment relationships through one interface. Reduce operational friction and leverage local payment rails for faster, lower-cost settlements.
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Automate & Focus on Strategy

Free up valuable time by automating key treasury processes like cash pooling and reporting. With Fyorin, you eliminate the hassle of data gathering and reduce errors, allowing you to focus on strategic initiatives like forecasting and liquidity planning.

Modernising Treasury. Without the Complexity.

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Faster Time-to-Market

Open accounts in over 200 countries using a single onboarding and compliance process. Expand globally without operational delays.

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Instant Access to New Currencies

Operate in 100+ currencies across multiple regions. With built-in FX tools and multi-currency accounts, you’re ready to transact and hedge instantly.

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Reduced Costs and Complexity

Replace fragmented systems with one integrated treasury solution. Our modern API infrastructure means zero set-up resources are required while you’re also saving on banking and FX costs.

FAQs

How can Fyorin help me centralize global cash management for our business?
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How does Fyorin help in diversifying liquidity risks?
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How does Fyorin consolidate financial data to provide strategic insights?
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Can I access and manage multiple banks as if they are one through Fyorin?
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Unify. Automate. Diversify.
Transform Your Global Cash & Treasury