Banking Services

FlexLiquidity

Balance access and return through a liquidity solution designed for modern financial institutions.

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What it enables

Balance everyday access with liquidity objectives

FlexLiquidity is presented as a connected way to organise qualifying balances while keeping operational needs in view.

01

Flexible positioning

Organise eligible cash around forecast payments and short-term funding requirements.

02

Connected operations

Use the same platform context for balances, movement and reporting.

03

Treasury oversight

Give authorised teams a clearer view of how funds are allocated.

In practice

Built around changing cash needs

01

Forecast

Estimate near-term payment and settlement commitments.

02

Position

Allocate eligible funds according to agreed parameters.

03

Adjust

Revisit positioning as operational requirements change.

Connected by design

Liquidity that fits around operations

Keep access requirements and cash-management decisions within one coordinated workflow.

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