Treasury
Operate a multi-currency treasury: collect, hold, convert, and settle.
Multi-currency balances with transaction-level visibility
Collections + settlements into treasury accounts
FX conversion and rate visibility
Reconciliation tooling
Technical Scalability
Ledger-style accounting primitives for accurate, high-volume posting
Designed for multi-entity, multi-currency operations without data drift
Event-sourced transaction records for reliable reconciliation
Scales reporting/exports via async jobs to avoid dashboard bottlenecks
