Sage XRT enables organisations worldwide to centralise cash flow information, streamline key business processes across the organisation, and automate financial communication with banking and business partners. Sage XRT helps enterprise companies complete high performance treasury, cash management and online banking tasks. These three areas are vital to the survival of every organisation – and are also at the heart of solid strategies that enable organisations to grow.
Cash and liquidity are key treasury operations that include global cash management, forecasting, payment controls, bank relationship management and the management of financial risks such as foreign exchange. Treasury performance and reporting are another vital requirement.
By using Sage XRT - Treasury, Business Exchange or Online Banking – customers benefit from a real-time, worldwide view of the financial value chain.
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