Manage treasury & liquidity with confidence
Our Treasury and Liquidity solution, facilitated by our partner bank, optimizes your capital management and ensures your business always has the necessary funds to operate globally and locally without friction.
Favourable FX
Preferential rates
Liquidity Access
Strategic funding
Key Capabilities
Financial tools to manage currency fluctuations and bridge funding gaps, ensuring uninterrupted operations
Competitive FX Rates
Access preferential foreign exchange rates for prefunding accounts to make payouts, settling domestic collections into foreign currencies, and facilitating seamless cross-border payments.
- Prefunding for payout accounts
- Settlement of domestic collections to FX
- Cross-border payment facilitation
Reliable Liquidity Facilities
Specialized funding solutions to close temporary gaps for high-volume businesses, including fintechs, large corporates, remittance firms, and betting companies.
- Bridge temporary funding gaps
- Support for high-volume operations
- Tailored for fintechs & IMTOs
Multi-Currency support
Efficiently convert and move funds between currencies to protect your margins and improve cash flow visibility across your operations.
- Fast currency conversion
- Margin protection
- Improved cash flow visibility
Features at a Glance
Trusted by fintechs, remittance firms, and betting companies across Africa
Cross-Border Facilitation
Streamline international transfers with competitive rates and integrated compliance. Move funds seamlessly across borders while maintaining regulatory adherence and cost efficiency.
Global Settlements
Support for international merchants and enterprises with multi-currency settlement operations across borders. Process foreign currency settlements seamlessly, enabling your business to expand globally.
Flexible Prefunding
Easily fund your disbursement accounts in the currency that suits your business needs. Choose from multiple currency options to optimize your working capital and payment flows.
Strategic Liquidity Access
Ensure your business meets its daily payout obligations even during peak demand or unexpected shortfalls. Access flexible liquidity solutions tailored to your operational rhythm.
How Treasury & Liquidity Works
A streamlined process for managing your business capital and liquidity needs
Assessment
We assess your business needs, payment volumes, and currency requirements
Setup
Configure your treasury accounts with preferred currencies and liquidity limits
Manage
Access competitive FX rates and liquidity as needed through the platform
Optimize
Monitor cash flow, settlements, and margins with real-time visibility
Banking Partnerships You Can Trust
Our treasury solutions are powered by established banking partners, ensuring security, compliance, and reliability
Global Reach, Local Expertise
Benefit from our banking partnerships that understand international and local market dynamics, enabling smooth operations across borders while maintaining local compliance.
- Unmatched competitive X rates
- Instant settlement anywhere globally
- Settlement in most global currencies
Seamless Integration
Access banking services directly through the Xente platform without the complexity of multiple banking relationships or integration efforts.
- Single API for all treasury operations
- No multiple banking relationships needed
- Unified reporting and reconciliation