Solutions > Solutions For >
Treasury Managers
Your partner in international treasury management
Get a 360° view of the treasury & cash across multiple financial institutions and currencies
Diversify and optimise liquidity risk without limits
Bank with multiple institutions as you would with one
Flexible, secure and scalable treasury management solutions
Fyorin empowers Treasury Managers of globally growing businesses by centralizing cash management, diversifying liquidity risks, and consolidating financial data. Act on market trends, manage multiple banks, and tap into a network of trusted global partners, unleashing your treasury department's true potential.
Efficient Treasury & Cash Management
Optimize your day-to-day work by centralizing your cash management. We simplify complex treasury operations, turning Treasury Management into an agile, strategic function ensuring company-wide financial health.
Consolidate Data for 100% View of Your Treasury
Our platform automatically aggregates and unifies data from multiple financial partners and sources. Get a complete view into your cash position, spending and treasury across different entities, currencies and banks under one roof.
Act Swiftly on Treasury Insights
Act promptly on real-time treasury insights and market trends. Fyorin's centralized system empowers you to make data-driven decisions, take advantage of the opportunities, grow and stay ahead.
Diversify Liquidity Risks Across the Globe
Fyorin empowers you to spread liquidity risks across a global network of financial institutions. Easily manage risk diversification and safeguard your organization's financial stability.
Manage Banking Relationships from a Single Portal
Fyorin’s portal lets you manage multiple banking relationships in one place. Enjoy convenience and control of the unified approach and improve profitability by controlling FX fees and banking fees.
Eliminate Manual Work, Focus on Strategy
Automate manual data-gathering tasks, reduce risk of errors and streamline reporting and audit preparation process. Eliminate manual work and free up your valuable time to focus on strategic activities like forecasting and liquidity planning.
Solutions For...
FAQs
How can Fyorin help me centralize global cash management for our business?
+
How does Fyorin help in diversifying liquidity risks?
+
How does Fyorin consolidate financial data to provide strategic insights?
+
Can I access and manage multiple banks as if they are one through Fyorin?
+
Tap into global network of financial institutions to bank & diversify without borders
Grow Globally with Fyorin