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Cross-Sector / Enterprise FintechTreasury & Cash ManagementLiquidity Management

Finastra Fusion Liquidity

Comprehensive liquidity management solution for real-time cash visibility and optimization.

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Overview

Finastra Fusion Liquidity is a liquidity management platform designed to provide financial institutions with real-time visibility and control over their cash positions. It supports cash forecasting, intraday liquidity monitoring, and regulatory compliance to help banks optimize their liquidity and reduce risk.

The solution integrates with core banking systems and payment networks to aggregate data across multiple accounts and currencies, enabling efficient cash management and decision-making. It also supports automated workflows and reporting to streamline treasury operations.

Finastra Fusion Liquidity is part of Finastra's broader treasury and capital markets suite, aimed at enhancing operational efficiency and regulatory adherence for banks and financial institutions.

Key Features

  • + Real-time cash position visibility
  • + Intraday liquidity monitoring
  • + Cash flow forecasting
  • + Regulatory compliance reporting
  • + Multi-currency support
  • + Automated workflow management
  • + Integration with core banking systems
  • + Liquidity risk analytics

Integrations

SWIFTISO 20022Finastra Core BankingPayment NetworksERP Systems
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