FIS TREASURY AND RISK MANAGER – QUANTUM EDITION
Improve visibility and control around cash and risk.
Simplify processes and enhance performance
Download product sheetA digital, modern treasury software
FIS® Treasury and Risk Manager – Quantum Edition treasury management system gives you greater visibility and control around cash and liquidity management, risk management, hedge accounting, FX, interest rate and commodity derivatives management, in-house banking and netting, payments, regulatory reporting, cash forecasting and more.
This treasury software can be used with our FIS Bank Account Manager, which provides standard workflows for opening, closing and maintaining bank accounts; our Short-term Cash Management solution, which handles funds through a single connection; and our FIS Swift Services for secure connectivity between your treasury and payments solutions and banking partners.
Discover visibility and strengthen your control
Rising economic uncertainty and market volatility are exposing new challenges. To gain control, treasurers need a clear view.
Choose from flexible options
Integrate your treasury software with other systems whether in a secure, private cloud or on-premises.
Rely on an experienced team
Rely on our managed, functional and technical client services team of experts.
Minimize disruptions
Implement and migrate easily with easy-to-consume treasury software.
Insights for treasury software
Driving ROI across your treasury operations
Discover how digital treasury management solutions can help unlock opportunities for efficiency gains and savings.
Read blogIs your technology on the right track?
While most treasurers recognize the need for digital solutions, not all solutions offer the same value.
Take quizChoose your treasury partner program
Depending on your needs, join us as a knowledge partner, solution partner, treasury-as-a-service partner or reseller partner.
Download product sheetConnect treasury and payments to your ERPs
Learn more about how our API integration solution connects the FIS Treasury, Risk and Payment Suite with ERPs.
Download product sheetMore products for you
Leverage the tools you need to enhance decision-making capabilities and address growing market and regulatory pressure.
Save time and reduce risk by automating the opening, closing and maintaining of bank accounts.
Securely connect with global banking partners through direct or indirect connectivity, including SWIFT and other exchanges or networks.
Centralize and standardize your global payments processes to lower costs, improve controls, gain cash visibility and reduce fraud risk.
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