A CFO’s command center for liquidity and risk
Everything in one place: cash, forecasts, and controls in real time. No delays, no chasing data – just a clear view of your treasury.

What every CFO needs to know, at a glance
See cash position
across all accounts
No more logging into different portals or waiting for reports. Get a live view of balances and positions across every bank, entity and currency.

Forecast
what’s ahead
Easily see where your cash will be in the coming weeks and months. Plan funding, investments, or dividends with fewer surprises.

Keep payments
safe and simple
Controls run in the background to catch errors and stop fraud. Your team can move faster without cutting corners.

Decisions shouldn’t
wait for reports
FinanceKey gives you the numbers as they are right now, not last week. That means you can make funding and investment calls with speed and certainty.

How leading CFOs run treasury today
Legacy treasury systems are slow to implement and harder to use than Excel. Modern CFOs are moving away from them, choosing FinanceKey to get the clarity they need without the drag.
“We used to rely on spreadsheets and instinct to explain cash flow variances. Now we can tag every transaction by category, region or business unit – and spot anomalies before they escalate.”
For CFOs who want clarity