Built for the pressures you face
We know how demanding treasury can be, and we’re here to help you stay in control.
What's standing in your way?
Liquidity visibility challenges?
Gain real-time insights to monitor cash positions and optimise liquidity across your business.
High transaction volumes?
Automate secure, high-volume payment processing to ensure accuracy and reduce manual and unsecure payment process.
Complex financial risks?
Monitor FX, interest rate, and counterparty risks with tools that keep you ahead of potential issues.
Market fluctuations?
Easily track and manage your foreign exchange trades and short-term investments, even in volatile markets.
Inaccurate forecasting?
Build precise, data-driven cash flow forecasts that adapt in real time, so you can plan with confidence.
Inefficient trading?
Streamline deal execution with integrated trading tools that simplify workflows, enhance control, and reduce operational risk.
Whatever your role, we’ve got you covered
Cash managers
Clear visibility for confident decisions
Cash managers are the engine of day-to-day treasury operations. Our platform helps you keep liquidity flowing with precision and control.
Real-time cash positioning
Turning manual positioning from chaos into competitive advantage. Allowing users to make better decisions that minimise risk and maximise returns.
Liquidity planning
Take the guesswork out of cash management. Easily consolidate and analyse data, with accuracy that improves over time.
Bank connectivity
Direct links to all banks deliver accurate balance and transaction insights automatically, at your fingertips. No need for clunky banking platforms.
Spend less time compiling spreadsheets. Spend more time making confident, data-driven decisions—before markets shift.
Treasurers/Treasury managers
Strategic insight for better control
Giving treasury teams oversight across all activity in one centralised location. This removes the manual error-prone data gathering and gives better control, allowing users to focus on the important things.
Global visibility
Connectivity across banks, ERPs and platforms gives treasury teams a clear global view of all operations and entities.
Payments
Streamline your payments through a single end-to-end hub, with custom approvals and no need for traditional banking platforms.
Deal management
Manage, track and settle a wide array of instruments across debt, investment and FX, including connectivity into trading platforms.
Drive treasury strategy with tools that keep you one step ahead—of risks, regulations, and expectations.
Analysts & Accountants
Intelligent insights, delivered simply
Transforming complex data into clear, actionable insights. Delivering concise, well-designed reports that management can trust and use with confidence.
Data analysis & reporting
Deliver board-ready insights with system-driven reporting — ensuring transparency, precision, and strategic alignment in every financial decision.
Regulatory compliance
Ensure regulatory confidence with system-led reporting — delivering accuracy, auditability, and governance in every disclosure.
Digital evolution
Empower treasury and finance teams to drive digital change, boosting efficiency, cutting costs, and maximising profit across the business.
Fewer manual errors. Faster close cycles. Deeper insights. All backed by a system built to keep data clean and decision-ready.
What’s next
Building tomorrow’s capabilities
The future’s already in motion. We’re developing new features and enhancements to stay ahead of tomorrow’s demands and deliver an even better Salmon experience.
Ready to explore how we can help? Let’s chat.