Treasury management
Achieve a truly global perspective of your cash position by integrating and managing all cash-relevant data into a single source of truth

























Our treasury management solutions for ultimate cash visibility
Why choose Serrala’s treasury automation software?
100% central transparency
Automatically integrate a uniquely broad range of internal and external data sources and manage all financial risks, investments, and activities centrally for complete visibility.
Up to 99% cash reconciliation automation
Accelerate actuals and forecasting by reducing manual tasks and automating processes like cash reconciliation by up to 99%.
Reliable real-time data
Integrate treasury and accounting data as a foundation for faster and more accurate decision making.
Seamless ERP integration
Integrate data flows from any ERP to create
seamless visibility and streamline your operations





