Expert guidance to build your treasury foundations

Growing internationally without a treasury strategy is like navigating without a map. We start with advisory — establishing the right policies, optimising your banking, and finding working capital solutions — then give you the technology to execute.

Trusted by international businesses:

Asap
AscendX
Atlantic Pacific
BeloFX
Champo
Firstpoint
Gravity9
Journey
Killick Martin
KTL
Maltby & Greek
Mirada
Pact Coffee
Pangea
SeaAvia
Signify
Squint Opera
TransferRoom
VogaCloset
Asap
AscendX
Atlantic Pacific
BeloFX
Champo
Firstpoint
Gravity9
Journey
Killick Martin
KTL
Maltby & Greek
Mirada
Pact Coffee
Pangea
SeaAvia
Signify
Squint Opera
TransferRoom
VogaCloset

Advisory first, technology to match

We help you build the strategy, then give you the tools to run it

Treasury policy & strategy

We help you establish the right policies for FX risk, cash management, and banking — so your finance team has a clear framework instead of ad-hoc decisions.

Banking & working capital

Optimise your banking relationships, find better working capital solutions, and stop overpaying on international transactions. We negotiate on your behalf.

Technology to execute

Once the strategy is set, our platform automates the execution — cash visibility, risk monitoring, multi-entity management, and payment automation.

Treasury Advisory

Establish the right policies and relationships before you automate

Most scaleups try to solve treasury problems with technology alone. But without the right policies, banking setup, and risk framework, tools just automate the wrong process. Our advisory team — with 20+ years at Standard Chartered and Bank of America Merrill Lynch — helps you get the foundations right first.

  • FX risk policies tailored to your business and currencies
  • Banking relationship review and optimisation
  • Working capital solutions to improve cash conversion
  • Cash management framework across entities and currencies
Treasury advisory and policy framework
Cash and risk management platform

Platform

Then automate with cash and risk management tools

Once your policies and strategy are in place, our platform puts them into action. Consolidated cash visibility across banks and entities, automated FX exposure monitoring, and a risk co-pilot that guides your team through hedging decisions — so you execute consistently, not reactively.

  • Consolidated multi-currency, multi-entity cash dashboard
  • Automated FX exposure tracking from your invoices
  • Risk co-pilot with budget rates and hedging guidance
  • Multi-entity payment automation and reconciliation

Trusted by growing international businesses

"Having previously worked at a major bank, I can say HedgeFlows provides the same institutional-grade tools we used there — but designed for businesses like ours."

Jason

CFO, Niarra Travel

"The platform gives us full visibility across our entities and currencies. We finally have real cash management instead of relying on gut feeling."

Sharon

Finance Director, KTL

Ready to build your treasury foundations?