Single source of truth for treasury teams
Manage cash, forecasts, and payments together in one place – so your team can focus on execution, not chasing numbers.

The daily essentials for treasury teams
Real-time
cash visibility
Connect directly to your banks and systems through APIs. No more stale data, no more manual uploads – just one live view of cash across entities and accounts.

Plan and
forecast together
Build and update forecasts in one system. Share them with finance and business units without endless email threads.

Payments
without bottlenecks
Submit, review and approve payments in a single workflow. Controls keep it safe, without slowing the team down.

Too much time lost
in manual work
Treasury teams spend hours collecting balances, updating spreadsheets and chasing approvals. FinanceKey connects everything in real time, so you can focus on managing cash and payments, not data entry.

How leading treasury teams work today
Legacy treasury systems are slow, clunky and so hard to use that teams default back to Excel. Modern treasury teams are switching to FinanceKey – built for daily use, with real-time connectivity and simple workflows.
“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 treasury teams who want less hassle