Forecast your company’s cash flow and liquidity, quickly and accurately
Provide strategic insight to the CFO, management and shareholders
Make informed recommendations on financial strategy
Ensure there is always enough cash available to support group operations and future plans for growth
Contact us for a demo today and experience the Datalog difference.
Find out more about who we are, where we’ve come from, and where we’re headed.
Explore a range of resources and documentation we’ve assembled to help you modernize your treasury.
Find out how our solutions can help you manage and optimize your company’s liquidity, cash flow, banking communications, and other financial activities effectively and efficiently.
Your comprehensive all-in-one treasury management solution.
Automate, track & control all of your inbound & outbound payments from one centralized system.
Automate a continuous flow of cash to the right places across your global business accounts.
Configure and manage intra-group transfers, loans, and financial compensation from a central SaaS platform.