eMACH.ai

Bank Treasury

AI First, Unified Treasury Platform for a Connected Ecosystem

A unified, real-time, contextual and most advanced cross asset platform that streamlines operations and maximises profitability

Treasury Decisions Demand Speed, Accuracy, and Control

Bank treasury teams operate in a volatile environment shaped by intraday liquidity pressures, market movements, and regulatory scrutiny. Fragmented systems and manual processes limit visibility and slow decision-making.

Real-Time Balance Sheet Visibility

Gain instant insight into cash, liquidity, and exposures across entities and currencies.

Optimized Funding & Liquidity

Improve funding decisions with integrated liquidity and cash flow intelligence.

Reduced Market & Operational Risk

Automate controls, limits, and workflows to minimize errors and exposure.

Regulatory & Reporting Confidence

Support treasury reporting and compliance with accuracy and auditability.

Overview

A Unified Platform for End-to-End Bank Treasury

A modern treasury platform unifies positions, cash flows, and risk—enabling proactive decisions, stronger governance, and resilient balance sheet management.

eMACH.ai Bank Treasury is a single platform, real-time, contextual, cross-asset solution designed for the next generation of treasury transformation. It provides a comprehensive, integrated suite of capabilities that cuts across the Front Office, Mid Office, and Back Office, empowering banks to optimize liquidity, maximize profitability and streamline operations.

In an era of extreme macroeconomic volatility, eMACH.ai Bank Treasury provides more than just a platform, it delivers a durable operating model for the modern bank. By unbundling the treasury value chain into a single, real-time, contextual ecosystem, we allow you to move from reactive trading to proactive, data-driven decision-making. Built on a cloud-neutral, API-first architecture, it ensures a 360-degree view of risk and liquidity, empowering you to maximize returns within defined risk parameters while achieving unprecedented levels of Straight-Through Processing (STP)

By integrating seamlessly with core banking, payments, liquidity management, cash flow forecasting, and capital markets systems, the solution enables straight-through processing and informed decision-making.

Configurable workflows, real-time analytics, and embedded controls empower treasury teams to manage complexity, optimize balance sheets and respond quickly to market and regulatory demands.

ISO 27001 Certified | SOC 2 Type II Compliant | PCI DSS Compliant | SWIFT Partner
Enterprise-grade security and compliance standards

Bank Treasury

Central Intelligence Hub
3x faster time-to-market with composable platforms
95%+ STP reduces cost-per-trade by 60%
89% of limit breaches prevented
73% reduction in manual review
Liquidity & Cash Position Management

Monitor intraday and end-of-day liquidity across accounts, entities, and currencies.

Funding & Interbank Operations

Manage borrowings, lendings, placements, and interbank transactions efficiently.

Investment & Portfolio Management

Track treasury investments, securities, and yields with real-time valuation.

Risk, Limits & Controls

Enforce exposure limits, counterparty controls, and risk policies automatically.

Accounting & Treasury Reporting

Automate postings, valuations, and treasury-related financial reporting.

Dashboards & Analytics

Access real-time dashboards for positions, exposures, and performance metrics.

End-to-End Treasury Management Across the Deal Lifecycle

From front-office trading to back-office settlements, everything you need in one integrated platform

Front Office: Trader-Centric Decision Support

Empower dealers with real-time intelligence for faster, more profitable decisions

1. Trader-Centric UI with Decision Support Blotters

Real-time blotters for position, cash, and P&L management, make informed decisions in the moment with comprehensive visibility

 

Business Impact – Fast, Informed Decisions, Immediate visibility into the impact of trades on risk exposure and profitability

2. Pre-Deal Analytics & Scenario Simulators

Evaluate market conditions and potential risks before trade execution with powerful pre-deal limit checks and simulations executing trades

 

Business Impact – Proactive Risk Mitigation, Evaluates scenarios and optimizes profitability while mitigating losses before they occur.

3. Merchant FX & Branch Position Integration

Automate customer and branch position reporting with real-time trader updates across your network

 

Business ImpactSeamless Internal Liquidity, Eliminates manual reporting lag for complex deals across the entire branch network.

4. Cash Flow Management

Enterprise-wide liquidity and funding management in a unified view with real-time forecasting

 

Business Impact – Strategic Balance Sheet Optimization, Turns cash surpluses into drivers of profitability. 

5. Collateral Management

Full support for Repos, IRFs (Interest Rate Futures), CCS (Cross Currency Swaps) with real-time impact on on positions to monitor risk exposure

 

Business Impact – Proactive Risk Mitigation, Optimized Collateral Utilization. Minimizes funding costs, reduces over-collateralization losses, ensures efficient asset use

6. Real-Time Market Data Integration

Seamless connectivity to Reuters, Bloomberg and other market data providers for live pricing

 

Business Impact – Timely Risk Mitigation, Decisiong Making based on realtime market data 

 

 

Mid Office: Real-Time Risk & Automated Compliance

Proactive risk management with AI-powered compliance monitoring

1. Comprehensive Limits & Control Framework

85 pre-defined limits with drill-down to transaction-level utilization and real-time breach detection

 

Business Impact – Safe Growth, Empowers dealers to maximize returns within clearly defined risk parameters.

 

2. Automated Compliance Engine

Rule-driven, multi-dimensional monitoring across Product, Currency, Dealer, and Portfolio dimensions

 

Business Impact –  Prevention Over Review, Shifts from reactive post-transaction reviews to a proactive, preventative compliance posture.

3. Stress Testing Scenarios

Set capital requirements and limit potential losses with comprehensive what-if analysis and scenario modeling

 

Business ImpactResilient Capital Management, Safeguards the bank against extreme market volatility by identifying vulnerabilities and ensuring adequate capital buffers are maintained before Committing capital.

4. Comprehensive Risk Metrics & Yield Curves

Deep risk analytics including VaR, Duration, Yield Curve Management, and portfolio optimization

 

Business ImpactPrecision Risk Visibility, Provides the data-driven foundation required for strategic decision-making, allowing the bank to optimize its balance sheet based on sophisticated yield and duration metrics.

5. Country & Reserve Risk Management

Enhanced limits covering country ratings, reserve requirements, and cross-border exposure

 

Business ImpactStrategic Global Exposure Control, Protects the bank’s international liquidity and investment book by automating controls over jurisdictional risks and ensuring compliant reserve allocations.

6. Portfolio Risk Analytics

Real-time P&L attribution, sensitivity analysis, and performance measurement across portfolios

 

Business Impact – Real-time visibility of the performance across the breadth

 

 

Back Office: High STP & Operational Excellence

Automated workflows for 95%+ straight-through processing

1. Configurable Business Process Management

Workflows that adapt to your unique processes—not the other way around. Drag-and-drop configuration

 

 

 

2. Seamless Confirmation Management

Progressive match generation and automated confirmations reduce settlement risk and manual effort

 

 

 

3. Flexible Settlement Instructions

Support for multiple settlement types, payment instructions, and nostro account management

Business Impact – Operational Excellence, Achieves a 98% STP index, dramatically reducing the cost per trade and eliminating operational errors

 

4. Built-In Dual Accounting

IFRS-compliant accounting embedded in the platform—no separate systems, real-time GL postings

 

Business ImpactAudit Readiness,,Eliminates the manual challenge of adhering to complex regulatory accounting standards

5. Smart Reconciliation Engine

Rule-based dynamic reconciliation with Case Manager for exceptions and automated matching

Business ImpactReduced Settlement Risk, Minimizes failures and frees up skilled personnel for high-value strategic activities

 

6. User-Defined Reporting

DIY report builder with drag-and-drop fields plus 100+ pre-configured regulatory and management reports

 

Business ImpactOperational Efficiency, due to configurable and flexible MIS reports giving control to business users

Advanced Analytics: Strategic Intelligence & Value-Adds

Transform treasury from cost center to profit driver

1. Portfolio Risk Analytics

VaR calculations, Duration Metrics, performance analysis, and portfolio optimization with scenario testing

 

Business Impact – Quantifiable Deal Impact & Optimization

 

 

 

2. Contextual ALM

Integrated Asset Liability Management for liquidity risk, rate risk optimization, and funding strategy

 

Business Impact – Resilient Capital Management. Safeguards the bank against market volatility through continuous stress-testing

 

 

3. CBX-FX Self-Service Platform

E-banking and FX trading platform for branches and corporate customers with real-time pricing

 

Business ImpactNew Revenue Streams, Unlocks growth by exposing treasury services to a wider ecosystem of internal and external partners

4. Resource Mobilization

End-to-end management of borrowings and deposits with full STP and regulatory reporting

 

Business Impact – Efficient funds management resulting in less borrowings

 

 

5. CSGL (Customer Securities)

Revenue generation from Fixed Income Securities trades for customers with automated settlement

 

Business Impact – Stronger balance sheet through automation

 

6. Advanced Analytics Engine

Machine learning-powered insights, predictive analytics, and intelligent recommendations

 

 

Business Impact – Quantifiable Deal Impact & Optimization

KEY DIFFERENTIATORS

What sets eMACH.ai Bank Treasury apart

Modern design principles that deliver fundamental advantages over legacy, monolithic systems

Composable "Zero-Waste" Architecture

The Difference: Unlike closed “black box” systems, eMACH.ai Bank Treasury is built on a cloud-native, microservices architecture with loosely coupled business components.

The Advantage: Provides unparalleled flexibility to integrate with existing ecosystems and adapt to changing business needs without vendor lock-in.

Business Process Excellence

The Difference: Design your own treasury workflows that match your unique business processes. by utilising a powerful rule engine to automate complex operational flows seamlessly through configurations.

The Advantage: Reduces manual intervention, enables greater control and allows for faster adaptation to new products or evolving regulatory procedures.

Federated Framework for Operational Autonomy

The Difference: A federated architecture designed for the demands of a growing global bank, that provides operational autonomy to different business units without losing centralized control.

The Advantage: Ensures consistent performance and stability regardless of user numbers or market activity, ideal for growing global banks.

The "Trade Nervous System" (AI Compliance)

The Difference: Features a future-ready, AI-powered compliance engine that actively oversees transactions at the product, currency, dealer, and portfolio levels.

The Advantage: Enables a shift from reactive, post-transaction reviews to a proactive, preventative risk management posture, ensuring operations are always secure.

Trader-Centric Contextual UX

The Difference: Features role-intuitive navigation and a contextualized UI/UX tailored specifically to the user’s function (Front, Mid, or Back Office).

The Advantage: Enhances individual productivity and significantly reduces the learning curve for high-stakes trading and settlement tasks.

 

Comprehensive Limits & Control Framework

The Difference: A robust framework featuring 85 pre-defined limits with drill-down capability to the individual transaction level.

The Advantage: Empowers the risk function to become a strategic partner by monitoring utilization and risk exposure in real-time.

FAQs

Frequently Asked Questions

Our architecture is built on Composable, API-First, and Cloud-Neutral principles. Unlike closed “black box” systems, eMACH.ai unbundles treasury into loosely coupled business components. This allows banks to adapt to new market changes and integrate with a broader ecosystem—from core banking to market data providers—without vendor lock-in.

Yes. The platform provides trader-centric decision support through dynamic blotters for real-time position, cash flow, and P&L management. Dealers gain immediate visibility into how every trade impacts risk exposure and profitability, moving from reactive trading to proactive, data-driven strategies.

The Trade Nervous System is an AI-powered compliance engine at the heart of our Mid Office module. It provides multi-dimensional monitoring across product, currency, dealer, and portfolio levels. It automates compliance checks against complex internal policies and global regulations, flagging breaches in real-time to move your bank to a preventative risk posture.

Operational excellence is achieved by automating the entire deal lifecycle—from trade capture in the front office to settlement and accounting in the back office. By eliminating manual reconciliations and utilizing rule-based dynamic engines, banks can drastically reduce processing costs and minimize operational risk.

Integration is seamless via our iTurmeric Composability and Integration Studio. This layer acts as the central nervous system, featuring an API Marketplace with out-of-the-box adapters for major market data providers. This ensures a true 360-degree view of operations with faster, more reliable connectivity.

The impact is transformative. For example, a leading Middle East bank implemented our STP-led process and successfully reduced its end-of-day processing time from 2 hours to just 13 minutes. Another institution saw a 50% reduction in manual interventions, enabling them to expand into new financial products.

Absolutely. The platform includes a Contextual ALM module that monitors and optimizes interest rate exposure and liquidity across the enterprise. This integrated approach prevents the fragmented view of risk often found in siloed technology landscapes.

We follow a risk-mitigated agile delivery model focused on speed-to-value. This involves 3-4 week sprints with an MVP (Minimum Viable Product) focus to ensure core components go live faster. Implementation is driven by “joint squads” comprising experts from both the bank and Intellect to ensure total alignment.

Awards and Recognition

Recognized Excellence

IDC Market Glance

Featured among key Treasury Management Platform vendors in the prestigious Treasury & Risk Software report

Award

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Chartis RiskTech Quadrant

Rated “Best of Breed” for ALM, FTP, LRM, and Balance Sheet Optimization solutions

Award

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IBS Intelligence

Awarded “Best Treasury Implementation” for successful transformation at Westpac

Award

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