Hazeltree's SaaS-based Treasury, Liquidity, and Cash Management solution allows banks to provide differentiated middle-office services by combining Hazeltree's treasury technology with operational capabilities.
Schedule a DemoDownload Fact SheetUnlock efficiency: Seamlessly access all your banking data, regardless of bank, currency, or location, empowering streamlined financial management at your fingertips
Get StartedUnlock efficiency: Seamlessly access all your banking data, regardless of bank, currency, or location, empowering streamlined financial management at your fingertips
Get StartedA consolidated view of all bank balances on a single platform, simplifying client operations and enhancing efficiency without the need to log into another bank portal.
Enhanced connectivity with counterparties enables seamless aggregation of cash and collateral data, reducing administrative workload., enhancing transparency, and strengthening operational and risk management.
Automated algorithms ensure optimal cash performance and liquidity management, boosting financial efficiency.
Comprehensive review and tracking of every transaction, with sophisticated entitlement and approval workflow.
Robust maker/checker and audit tracking mechanisms provide comprehensive oversight and accountability for both the bank and its clients, promoting trust and reliability in operations.
Seamlessly consolidate banking, brokerage, and counterparties on a secure, unified platform.
Learn MoreNormalized, consolidated, and enhanced data across multiple banks and counterparties in one easy-to-use, centralized platform.
Learn MoreOptimize your returns by efficiently sweeping excess cash into money market funds.
Learn MoreMatt Cammer, Director, Head of Treasury