Treasury. In Real Time.
Reativ is a modern, cloud-based treasury management system purpose-built for banks and credit unions. It brings together real-time cash visibility, automation, and AI intelligence in a single, secure interface designed for today’s treasury teams.

Everything you need for treasury management
Reativ empowers treasury teams to optimize liquidity, reduce operational risk, and respond faster to market changes.
Real-Time Cash Visibility
Unlock real-time visibility into cash positions across all accounts with unified dashboards and seamless API integrations—empowering proactive cash optimization to maximize returns.
Early Warning Alerts
Customized early warning indicators and alerts highlight potential liquidity risks before they escalate.
Integrated Market Data
Access real-time market rates and funding indications from sources like the Fed and FHLB directly within the platform.
Trusted Security
Built with enterprise-level encryption, secure APIs, and compliance with banking regulations.
Easy Data Integration
Upload offline spreadsheets and consolidate non-integrated data effortlessly into the system.
Liquidity Ratio Monitoring
Supports fully customizable performance ratios for daily monitoring of liquidity positions.
Our Mission
To deliver real-time insights, seamless integration, automated processes, and AI-driven predictive analytics, in a secure, user-intuitive solution designed for financial institutions.
Our Solution
Reativ is a cloud-based treasury management system (TMS) designed for financial institutions. It delivers real-time cash visibility, automated processes, and AI-driven insights in one secure, intuitive interface.
With seamless API connectivity, integrated market data, and customizable alerts, reativ empowers treasury teams to optimize liquidity, reduce operational risk, and respond faster to market changes—all while saving time and improving regulatory compliance.
Real-Time
Instant cash visibility across all accounts
AI-Driven
Predictive analytics for smarter decisions
Secure
Enterprise-level encryption and compliance
Optimize Liquidity.
Generate additional earnings through optimization of cash & liquidity.
Reduce Operational Costs
Cut operational costs by up to 50% through streamlined workflows and reduced manual tasks.
Improve Regulatory Oversight.
Demonstrate effective oversight of intraday and daily cash management to regulators.
Ready to transform your treasury operations?
Experience real-time cash visibility and AI-driven insights. Contact us today to schedule a demo and see how reativ can optimize your liquidity management.