Managing Cash, Liquidity and Risk in the Cloud
As fast-growing companies add new markets, products and entities, financial professionals often find it difficult to adapt. Cloud technology makes it easy for treasuries to keep up with the pace of change. Teams can quickly take control of enterprise-wide cash flows and risk positions, all at the same time.
For corporates that want to control financial operations across their ever-changing organizations, the Reval Cloud Platform automates cash management, cash forecasting, financial risk management, commodity management, hedge accounting and compliance.
FEATURES FOR CORPORATES
Cash & Liquidity Management
Are volatile currencies and commodity prices impacting your P&L? Manage exposures holistically and protect your company from increasing volatility and uncertainty.
Hedge Accounting & Compliance
Do you feel lost in the regulatory jungle? Are you struggling with IFRS 9, FBAR or EMIR? Automate hedge accounting and reporting to easily comply with increasingly complex regulations.
Experience the Power of the Reval Cloud Platform.
What is SaaS? Find Out Here
Why Reval for Treasury and Risk Management
For corporations of any industry, geography or size, Reval provides a scalable cloud platform to help them:
CLIENT TESTIMONIALS FROM LEADING COMPANIES
Reval Cloud Platform
The Reval Cloud Platform makes it possible for you to select and configure Treasury and Risk Management (TRM) technology in the cloud. Find out how Reval meets the needs of your growing organization.
Download our fact sheet for more information on the features and benefits of the Reval Cloud Platform.