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    Cash. Unleashed.

    Full, Contextual, Real-Time Control of Cash for your Corporate Clients

    Global solution to transform Corporate Liquidity Management

    Liquidity | Treasury | Sub-accounting.

    $0Tn

    Swept Every Year

    0%

    of the World’s Multinational Corporations cross-border sweeps

    0

    Compliant in 70 Countries

    $0Tn

    Notional Pools Every Year

    Unleash the Solution

    Contextual Design. Digital without Boundaries.

    Physical Cash Concentration Sweeps

    Encourage transactions and increase wallet share by consolidating surplus and deficit balances at a pre-defined time through one or more concentration accounts. Automatically sweep balances from multiple accounts, in multiple currencies, and across multiple banks.

    Notional Pooling

    Be the customer’s primary bank by offering liquidity techniques that give a centralized view of liquidity position to recognize trapped cash without requiring movement. Allow customers to keep control of their account balances daily, and incentivise them with a robust interest engine that configures advanced interest allocations based on aggregate deposit amounts.

    Inter-Company Loans

    Enable customers to lend and borrow cash between business units, joint ventures, and subsidiaries, without requiring credit loan arrangements, even on short notice. Offer in-house banking with loan lifecycle management and intercompany limit tracking, utilizing various intercompany loan types.

    Investments

    Automate excess cash placement into on- and off-balance sheet investment products, and take over routine tasks that support the investment process, while allowing control over the company’s investment policy. Offer self-service capabilities to deliver an end-to-end investment platform for portfolio and performance monitoring, analytics, decision making, and execution. Support directed investments and automated, rules-based investment sweeps with easy-to-use setup and maintain menus.

    Cash Flow Forecasting

    Give customers tools for clear insights into current and future cash flows. Analyze annual cash forecasts by day, week, month, or year, based on information from multiple sources. Use machine learning to suggest new patterns for future forecasts.

    Global Deposit Manager

    Manage the full product lifecycle to introduce new deposit types to the market. Streamline the core demand deposit account (DDA) banking engine and handle deposit workflows and accruals outside the DDA. Avoid the DDA book of work and deliver innovative products to clients quickly and efficiently.

    Operational Account Manager

    Encourage deposits by splitting cash into operational and non-operational balances. Create a win-win situation for the bank and the customer by earning higher returns through maturity transformation and passing on some of the benefits to the customer. Analyze, measure, and report account behavior to gain insights into accounts that are close to meeting operational qualification.

    Corporate Demand Deposit Account (DDA)

    Streamline your cash management with Corporate Treasury Exchange’s (CTX) Corporate DDA solution. Our platform is designed to overcome the complexities of corporate banking, offering agile onboarding and instant account setup to get you up and running faster. Gain unparalleled control and transparency with the ability to manage linked and multi-interest accounts within flexible account groups. Crucially, our solution provides real-time balances and transaction monitoring, empowering you with the live data needed to make informed decisions and optimize your liquidity with confidence. With CTX, your treasury is not just managed—it is empowered.

    Transaction Limit Management

    Enable real-time payment decision-making to prevent payment delays and ensure sweep instructions are executed only when sufficient cash balances or credit limits are available.

    Contextual Pricing

    Reward clients based on various criteria such as loyalty, operational activities, balance growth, balance stability, ESG adherence, payments, collections, or other measurable variables. Pass value back to accounts with high loyalty or operational activities.

    Supporting banks sustained revenue growth through high quality deposits

    Intellect Liquidity Management suite of products, founded on the API-first, cloud-native, pure open source and real-time infrastructure, ensures smooth integration with the bank’s existing ecosystem through simple interfaces. With ‘headless’ products, CTX doesn’t burden the bank’s DDA system(s).

    Our cash optimisation offerings have been developed considering four principles–forecasting cash flows, managing cash flows, segmenting cash and deploying cash. We understand it well that one size doesn’t fit all and so, from the plethora of products, banks can either pick and choose or avail the entire CTX suite of products, as per their requirements.

    abon

    “Intellect’s position is based on the depth and breadth of its product functionalities, established on its knowledge of liquidity management dynamics, dominance in the field, and client endorsements and references.”

    Enrico Camerinelli,

    Strategic Advisor, AITE Novarica

    Benefits

    Power. Control. Visibility. Auto-action. Real-time.

    Utilize the premier liquidity platform to acquire and retain clients as the principal banker, all while safeguarding the bank's integrity.

    Gain and Retain Clients

    • Client Delight with Superb UX
    • Build new client deposit products and bring them quickly to market
    • Help banks understand what are the best performing deposit products with best in class Analytics

    Operational Efficiency

    • Intuitive self-service to set up and amend cash pooling and liquidity structures
    • Investments can be executed from the client user interface without the need for bank user intervention.
    • Reports can be accessed online, and real-time analytics
    • Self-service saves time for your clients, and reduces the operational demands on the bank

    Protect your bank

    • Avoid balance sheet & other shocks
    • Powerful tools to help your clients to manage their cash and liquidity pools
    • Tools to help the bank to meet its liability mix objectives
    • Encourage the right kind of cash deposits from your clients.
    • Help your clients do more operational business at lesser cost

    Transform liquidity management from zero-sum to win-win

    How banks can offer liquidity management services without losing out​

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