A real-time treasury dashboard that monitors FX exposure, liquidity risk, cash balances, and hedging activity across multi-currency operations.
Added May 30, 2026
Last signal 4d ago
Treasury teams must continuously track foreign exchange exposure, liquidity risk, interest rate risk, cash flow, bank facilities, and compliance-sensitive FX transactions. The signals show this work spans onshore and offshore balances, multi-currency operations, and regulated transaction environments, making manual monitoring slow and risk-prone.
Build a SaaS platform that connects to bank accounts, ERP systems, and financial data feeds to centralize treasury risk visibility. The tool would surface real-time FX exposure, liquidity forecasts, hedging coverage, cash balance anomalies, and compliance alerts for treasury and finance teams operating across currencies.
Companies with crypto, fintech, offshore, and multi-currency operations are hiring treasury and risk leaders to formalize FX, liquidity, and financial risk programs. Live financial data infrastructure makes real-time treasury risk monitoring more practical than spreadsheet-driven processes.
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Collaborate with the broader treasury on the implementation and utilization of treasury management system and other technology tools to automate and streamline processes Design and manage dashboards and reporting tools to provide real-time visibility into cash positions, liquidity, and treasury metrics
Design and implement FX hedging strategies aligned with client risk policies, including cash flow and balance sheet hedging programs Streamline end-to-end FX workflows: trade capture, confirmations, settlements, revaluations, and P&L reporting
Monitor liquidity, FX, and funding exposures in line with internal controls and treasury policies Drive automation and reporting enhancements using Power BI, Python, Excel VBA, or similar tools
Leverage treasury management systems to improve cash visibility, forecasting accuracy, and process automation. Design and implement risk monitoring frameworks, dashboards, and reporting that clearly communicate risks and mitigation options.
The Liquidity Management team builds and maintains the core platform capabilities that give treasury professionals real-time visibility into their organization's cash and liquidity positions across banks, accounts, currencies, and legal entities worldwide. Our solutions help enterprise customers optimize how they fund operations, manage intercompany liquidity structures, and deploy idle cash. The team works at the intersection of complex financial workflows and modern software engineering, delivering scalable, reliable systems that process critical financial data for customers operating across 40+ countries.
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