Oracle Banking Treasury Management

Oracle Banking Treasury Management enables Banks and Financial Institutions to adapt to changing regulatory reforms in Treasury Markets and improves their overall operational efficiency.

This Product provides end-to-end trading capabilities for a diverse range of Trading Instruments in Foreign Exchange, Money Markets, Securities, Derivatives and Over-the-counter products.

Oracle Banking Treasury Management

Oracle Banking Treasury Management is an online, Real-time, comprehensive solution for handling the Treasury operations efficiently. This Product is built on a highly adaptable and modular architecture with leading-edge industry standards. This Product is also equipped with an innovative pre-settlement manager that expedites and simplifies the operational flow of the Treasury Deals.