GTreasury
GTreasury is a comprehensive treasury management system providing real-time visibility into cash liquidity, financial risk, and hedge accounting to help corporate treasurers optimize their global financial operations.
Kyriba
Kyriba is a global liquidity management platform providing enterprise-grade treasury, payments, risk management, and working capital solutions to help you optimize financial performance and secure your organization's cash flow.
Quick Comparison
| Feature | GTreasury | Kyriba |
|---|---|---|
| Website | gtreasury.com | kyriba.com |
| Pricing Model | Custom | Custom |
| Starting Price | Custom Pricing | Custom Pricing |
| FREE Trial | ✘ No free trial | ✘ No free trial |
| Free Plan | ✘ No free plan | ✘ No free plan |
| Product Demo | ✓ Request demo here | ✓ Request demo here |
| Deployment | ||
| Integrations | ||
| Target Users | ||
| Target Industries | ||
| Customer Count | 0 | 0 |
| Founded Year | 1986 | 2000 |
| Headquarters | Chicago, USA | San Diego, USA |
Overview
GTreasury
GTreasury gives you a centralized platform to manage your organization's entire cash ecosystem. You can gain immediate visibility into global bank balances, automate complex reconciliation tasks, and forecast future cash needs with higher precision. By connecting directly to your banks and ERP systems, the platform eliminates manual data entry and reduces the risk of human error in your daily financial operations.
You can also manage sophisticated financial instruments, including FX, debt, and derivatives, while ensuring compliance with hedge accounting standards. Whether you are a mid-sized company outgrowing spreadsheets or a global enterprise managing hundreds of bank accounts, you can scale your treasury functions and improve strategic decision-making through integrated reporting and real-time data access.
Kyriba
Kyriba helps you unify your global liquidity by connecting your banks, ERPs, and financial systems into a single cloud-based platform. You can gain real-time visibility into your cash positions across all accounts, allowing you to make faster, data-driven decisions. The platform automates complex treasury workflows, from bank statement processing to automated accounting entries, so your team can move away from manual spreadsheets and focus on strategic financial analysis.
You can also manage financial risks like foreign exchange and interest rate volatility with integrated hedging tools. Whether you are looking to streamline global payments, optimize working capital through supply chain finance, or ensure compliance with internal controls, the platform provides the security and scalability needed for modern finance teams. It is designed primarily for mid-market and enterprise organizations with complex global banking footprints.
Overview
GTreasury Features
- Cash Visibility Access real-time data across all your global bank accounts in a single view to monitor liquidity and optimize funding.
- Automated Reconciliation Match bank statements to your internal ledger automatically using customizable rules to save hours of manual work every day.
- Financial Risk Management Identify and mitigate exposures to foreign exchange, interest rates, and commodities with integrated sensitivity analysis and stress testing.
- Hedge Accounting Streamline your compliance with ASC 815 and IFRS 9 standards using automated effectiveness testing and specialized financial reporting.
- Payments Factory Centralize and standardize your global payment workflows to improve security, reduce transaction fees, and prevent fraudulent activity.
- Cash Forecasting Build accurate short and long-term cash forecasts by pulling historical data and future projections directly from your business units.
Kyriba Features
- Cash Management. Get a clear, real-time view of your global cash positions across all banks and currencies to optimize your liquidity.
- Bank Connectivity. Connect to thousands of global banks through a pre-configured network using API, SWIFT, and regional protocols for instant data access.
- Global Payments. Centralize your payment activity through a single portal to improve security, reduce bank fees, and prevent fraudulent transactions.
- Risk Management. Identify and mitigate your exposure to FX and interest rate fluctuations with integrated valuation and hedging tools.
- Working Capital. Improve your free cash flow by implementing supplier financing and dynamic discounting programs directly within your treasury workflow.
- Financial Accounting. Automate your journal entries and bank reconciliations to ensure your ERP stays perfectly synchronized with your actual bank activity.
Pricing Comparison
GTreasury Pricing
Kyriba Pricing
Pros & Cons
GTreasury
Pros
- Highly customizable reporting engine for complex financial data
- Strong bank connectivity options including API and SWIFT
- Comprehensive coverage of both cash and risk management
- Responsive customer support team with deep domain expertise
Cons
- Significant time investment required for initial implementation
- Steep learning curve for users new to treasury systems
- User interface can feel dense due to high functionality
Kyriba
Pros
- Extensive global bank connectivity options
- Highly customizable reporting for complex data
- Strong security features and audit trails
- Comprehensive suite covering treasury and risk
- Reliable automated daily bank polling
Cons
- Significant time required for initial implementation
- Steep learning curve for non-technical users
- Premium pricing compared to basic tools