
Non-Bank Financial Institutions
LiquidityHub offers seamless connectivity to buyers, suppliers, and funding partners. Our technology helps you manage receivables, payables and liquidity programmes efficiently, while delivering the speed, control and transparency needed to expand reach and serve clients more effectively.

Custom development, seamless ERP integration and real-time reporting. Get full visibility and control in a secure environment.
Simplify end-to-end factoring with seamless transparency and connectivity to all parties. LiquidityHub handles invoice formats, KYC, fraud prevention, compliance, credit insurance, and bank integration all in one place.
Digitise and automate in-house factoring processes on a single platform. Configure workflows to your needs, integrate partners and gain full visibility for you and your clients.
Deliver scalable Supply Chain Finance programmes that offer your clients flexible payment terms. Fund early supplier payments, improve suppliers' working capital and DSO while enabling buyers to negotiate longer terms. Our SaaS platform connects all parties, including banks, giving you full visiblity, automated workfows and control on one platform.
Enable clients to unlock early-payment benefits with flexible, per-day discounting programs. Configure discounting methods, manage cash allocation efficiently and provide clients with seamless access.
Connect seamlessly to ERP systems with standard and new bank formats, eliminating the need for custom ERP development. Our platform integrates with multiple banks and financial service providers, including Bloomberg, ensuring smooth connectivity while keeping your core systems clean.
Collect and validate trade finance and AR/AP data from suppliers, buyers and other third parties. We provide flexible interfaces, file exchange, and EDI to streamline how counterparties connect with you.
Manage fund allocation, real-time limit utilisation, and multi-currency positions. Gain instant insight into asset ownership with FX integration and connectivity to capital markets.
Apply tailored posting logic and product-specific accounting, fully integrated with your general ledger - from initial entry to reconciliation.
