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One of the key responsibilities of a treasurer is to ensure that the most effective approach to cash and liquidity management is taken. The opportunity cost associated with inefficiently managing cash and liquidity is thus growing. As liquidity shortfall at a single organisation can have systemic repercussions, the management of liquidity is therefore among the most important activities conducted at banks In response to this requirement, CRISTAL is a software for managing the execution of inter-bank wholesale and cross-border retail payments, addressing TARGET2 and the SEPA initiative and enabling worldwide intra-day liquidity management and flow monitoring. Diamis paves the way to SEPA… Initially developed as a gateway to the French RTGNS operated by the C.R.I., for which Diamis is the unique provider and operator, CRISTAL has been enhanced to support access to EURO1, STEP1, STEP2, TARGET, the Correspondent Banking network, and TARGET2. CRISTAL is designed around four major modules to enable Treasury, Payments, Risks and IT departments to reap the full benefit of a single-window platform, serving the whole organisation.
Exchanges and Flows, enabling:
Flow Monitoring, that supports:
Liquidity Management, providing:
Supervision such as: |
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