Growth with Any Scale of Business
Our treasury solution mitigates multi-currency risk for corporations while resolving your cash flow, cross-border payment, and asset management issues. As a result, operating efficiency is enhanced, manpower and operating costs are lowered, protecting corporate profits.
Starter
Our starter solution is designed for SMEs operating internationally, managing multi-currency invoices and payments, exposed to FX risks and struggling to manage cash flow and working capital.
Potential Client:
What Do You Get?
Register in a Minute
On-line application services in the Software-as-a-Service (SaaS) mode to save you the setup costs.
129+ Currencies Payment & Settlement
Global & batch payments supported with competitive FX rates with transparent pricing.
Effective Cash Management
Payment-driven cash flow with at-a-glance assessment of liquidity health level.
FX Risk Management
Our risk module simulates potential market movement impacts on projected cash flows and valuations.
Standard
Our standard solution is not only built to resolve existing multi-currency cash flow and payment pain points, but to create cost-effective, and easy to implement cloud based treasury management platform that enable finance to perform at higher and more scalable levels.
Potential Client:
What Do You Get?
Integration & SaaS Cloud
100% software-as-a-service (SaaS) cloud treasury solution
129+ Currencies Payment & Settlement
Global & batch payments supported with competitive FX rates with transparent pricing
FX Derivatives
Prevent FX exposure & offer professional advisory
Cash Flow & Investment Management Platform
Access into comprehensive assest classes & financial market news/reports/data. Get visibility on cash flow. Adjust pricing strategies with trading risk instantly.
How it Works
Bank & Corporate System (API)
KVB Account
Reports
Dashboard
Cash data consolidation & management
Cash Management
Bank Reconciliation
Cash Accounting
Liquidity Planning
Financing Management
Netting
FX risk analytics
Risk Evaluation
Risk Management
VAR Model
Risk Advisory
Payment, collection, trade
Payment
Trading
Virtual Account Collection
Hedging
Investment data consolidations & management
MTM Reporting
Treasury Accounting
A trading platform
Market Quoting
Trading
Find Us at Xero
Removing Manual Processing
Banclogix & Xero have collaborated to enhance your experience in simplifying your bank reconciliation by auto-syncing your FX trading, multi-currency payment and investment transactions into your Xero account.
Easy to Get Premium Tool
Our award-winning suite of treasury reporting tool enables Xero Accountants to provide virtual treasury reporting, strategic financial planning, goal-setting, budgeting, forecasting and multi-currency reporting.
Banclogix is committed to provide you with our suite of cost-effective and forward-looking treasury solutions