Sage XRT

Sage XRT solutions – Treasury, Business Exchange, Online Banking – enable organizations worldwide to centralize cash flow information, streamline key business processes across the organization, and automate financial communication with banking and business partners. Sage XRT helps enterprise companies complete high performance treasury, cash management and online banking tasks. These three areas are vital to the survival of every organization – and are also at the heart of solid strategies that enable organizations to grow.

Download PDF Play Video
Europe This feature is not available in all countries in these regions.
Please consult with a local representative for details about your situation.

Benefits

  • A complete coverage of your cash flow management
  • Improve working capital and allow a global vision on the liquidity
  • Diminish the liquidity and market risk
  • Reduce processing costs
  • Increase the efficiency of financial management
  • Recover client and supplier relations
  • Compliance with local and international legislation

Features

  • Cash and Liquidity Management
  • Risk Management, Payment Management
  • Reconciliation
  • Bank Relationship Management
  • Advanced security and signature controls
  • Multi-protocol, multi bank connection and SWIFT Net integration
  • Enabling SOX compliance
  • E-mandate management 100 % SEPA and ISO20022 XML compliant
  • Exchange with all your banks
  • Transfer tracking
  • Bank statement management

For more information please visit www.sagetreasury.com

Getting started

Take an Interactive Product Tour

Complete the info to learn how you can personalize
Sage Business Cloud Enterprise Management to work how you do.

Or take a Test Drive of a simulated account
to explore the possibilities with Enterprise Management.