Treasury infrastructure built around a business's day-to-day
Global Payments & Settlement
Termination, routing and settlement orchestration across a coordinated infrastructure layer. Cross-border execution with intelligence built into every corridor.
- Termination
- Settlement orchestration
- Infrastructure coordination
- Payment routing
Liquidity & Treasury Management
Liquidity visibility, cash positioning and funding optimization. Treasury workflows, automation and working capital intelligence — engineered around your operating model.
- Cash visibility
- Liquidity optimization
- Treasury workflows
- Treasury advisory
- Working capital intelligence
FX Risk Management
Hedging support, exposure management and rate intelligence. Scenario modelling and treasury analytics for businesses operating in multiple currencies.
- Exposure management
- Treasury analytics
- Hedging support
- Rate intelligence
Currency Accounts & Access
Multi-currency capabilities through regulated partner banks. Regional connectivity, collections and disbursements through a curated banking partner ecosystem.
- Access through regulated partners
- Regional banking access
- Collections
- Disbursements
- Market connectivity
Beyond the four core pillars
Further capabilities Corridr provides as treasury needs grow more complex.
- Treasury-as-a-Service
- Embedded Finance
- Business Finance Automation (CFO Tools)
- Digital Wealth Management
- Open Finance Platforms
- Cross-Border Settlement Advisory
Engage with Corridr
Speak with our treasury infrastructure team.
Explore how Corridr can optimize treasury operations, orchestrate settlement and provide the connective layer between your business and global financial markets.