Corporate Treasury and Risk Management Systems

We offer the first and only local Corporate Treasury and Risk Management designed according to the needs of the Real Sector.   The Corporate Treasury and Risk Management Systems is an integrated system consisting of daily and periodic cash management, asset and liability management and treasury management systems for the organizations. With its modular infrastructure, the organization can purchase and implement only the modules it needs. It provides a solution with high integration capability; it can integrate into the ERP systems of organizations, other third party systems, and Excel.


ALM-Asset Liability Management

ALM-Asset Liability Management

We offer systems aiming to measure the potential risks and to protect the companyu from these risks, while shaping the asset and liability structure...

Cash Flow Management Systems

Cash Flow Management Systems

With our market experience, we offer an integrated and user-friendly solution for Cash Flow Management.   The most critical systems...