Broadridge’s Reconciliation Cash Management solution provides real-time cash and liquidity management, enabling full control of intra-day position keeping and the delivery of a consolidated, global view of all currencies and accounts in one single solution.
The solution gives you greater control over intra-day cash management. It reduces your exposure to the risk and costs associated with misdirected funds and overdrawn accounts, while increasing your ability to identify and invest surplus cash balances.
Through this solution, you can:
- Monitor, track and process cash movements across individual lines of business
- Reduce risk by ensuring accurate and up-to-date views of balances, enabling you to direct funding decisions across the business
- Track intra-day balances in real-time to ensure optimum use of funds
- Establish user-defined business rules to manage automatic sweeping of funds between accounts