Multi-Bank Visibility
View all bank accounts and balances across institutions in a single unified dashboard.
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Eliminate Manual Data Gathering
By pulling balances from all banks into one dashboard, teams no longer waste time logging into multiple portals or exporting spreadsheets.
Faster, More Accurate Decision-Making
Teams instantly understand their total cash position and make informed liquidity decisions without delays.
Optimize Cash Allocation
With a holistic view of liquidity across all institutions, teams can strategically position cash to reduce idle balances, minimize borrowing, and improve overall yield.
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Treasury teams face fragmented portals, inconsistent data, and manual consolidation. Multi-Bank Visibility unifies all accounts, balances, and cash insights in one dashboard with real-time bank connections for an accurate liquidity view.
Allows teams to organize accounts by entity, region, currency, or bank
Click into any account to view transactions, activity, and balances
Auto refresh balances from all banks for an accurate liquidity view
How teams use this feature
View all bank accounts and balances across institutions in a single unified dashboard.
Supporting Short-Term Investment Decisions
With reliable visibility into surplus cash across banks, treasury teams can quickly identify investable funds and take advantage of short-term yield opportunities.
Managing Operational Cash Needs
Real-time awareness of balances helps teams ensure that operating accounts maintain sufficient liquidity for payroll, vendor payments, and other daily obligations.
Strengthening Fraud and Anomaly Detection
Treasury teams can spot unexpected balance changes or unusual activity across all banks in one view, enabling faster investigation and reducing the risk of undetected fraudulent transactions.
Implement Arpari within 1 week
Your treasury. Centralized.
Take the first step to streamlining your financial operations by scheduling a demonstration of the Arpari platform.
