Flexible positioning
Organise eligible cash around forecast payments and short-term funding requirements.
Balance access and return through a liquidity solution designed for modern financial institutions.
Talk to our teamFlexLiquidity is presented as a connected way to organise qualifying balances while keeping operational needs in view.
Organise eligible cash around forecast payments and short-term funding requirements.
Use the same platform context for balances, movement and reporting.
Give authorised teams a clearer view of how funds are allocated.
Estimate near-term payment and settlement commitments.
Allocate eligible funds according to agreed parameters.
Revisit positioning as operational requirements change.
Keep access requirements and cash-management decisions within one coordinated workflow.
Discuss your requirements