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Comprehensive cash management services that include account management, liquidity solutions, and integrated payment processing to optimize cash flow and increase operational efficiency.
Software for monitoring, forecasting, and optimizing cash positions across accounts and currencies to support investment activities, fund redemptions, and operational needs.
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Multi-Bank Connectivity Ability to connect with and aggregate data from multiple banking institutions. |
J.P. Morgan Cash Management supports aggregation and access across multiple banking institutions as it is positioned as a global multi-bank solution. | |
Custodian Integration Interface for direct data feeds from fund custodians. |
Custodian integration is supported for institutional clients, as indicated by direct data connectivity with fund custodians and prime brokers in the platform's specification. | |
Internal System Integration APIs/connectors for integration with fund accounting and portfolio systems. |
Internal system integration is a core feature; J.P. Morgan offers APIs/connectors for accounting and portfolio systems integration. | |
SWIFT Compatibility Supports SWIFT messaging for secure international fund transfer. |
SWIFT compatibility is explicitly listed for J.P. Morgan Cash Management on their website, as they process global payments and messages using SWIFT. | |
API Availability Availability of APIs for custom and automated integrations. |
APIs for custom and automated integrations are publicly advertised as a product capability. | |
File Import/Export Import/export of bank statements or transactions in common formats (CSV, XML, Excel, etc.). |
System offers support for importing/exporting bank statements and transactions in common formats including CSV and Excel. | |
Real-Time Data Sync Capability for retrieving and updating balances/transactions in real time. |
Real-time data sync is referenced via instant balance/transaction updates as part of the global cash visibility pitch. | |
Manual Data Entry Options System allows manual override or entry of account data as backup. |
Manual data entry options are available for reconciliation and exception handling as indicated in service documentation. | |
Single Sign-On (SSO) Supports single sign-on across connected systems. |
Single sign-on is supported as part of enterprise-level access controls and security offerings. | |
Multi-Factor Authentication Support Enhances security when connecting to banking partners. |
Multi-factor authentication is highlighted as a mandatory security protocol for client access. | |
Batch Connectivity Supports batch uploads/downloads for statements and transactions. |
Batch uploads/downloads for bank statements and transaction data are supported, standard for institutional-level treasury platforms. | |
Automated Data Reconciliation System automatically matches internal and bank records. |
Automated reconciliation of internal records vs banking records is a standard feature; referenced in product specifications. |
Real-Time Balance Display Displays up-to-date cash balances across all accounts. |
The platform provides real-time balance displays across all linked accounts as noted in the product overview. | |
Multi-Currency Support Monitors balances in multiple global currencies. |
Multi-currency support is prominent, as J.P. Morgan manages global payments and positions. | |
Consolidated Cash View Aggregated balance reporting for all linked accounts. |
Provides consolidated cash view, aggregating balances from all connected accounts. | |
Customizable Dashboards User can configure dashboards for tailored cash insights. |
Dashboards are customizable for tailored cash and liquidity insights as referenced in sales collateral. | |
Intraday Balance Tracking Tracks balance changes over the course of the day. |
Intraday balance tracking is available and advertised as a premium cash positioning feature. | |
Cash Position by Legal Entity Ability to view and break down cash positions at the entity or fund level. |
System allows breakdown of cash position by legal entity or fund, per compliance and audit requirements. | |
Historical Cash Position Reporting Access to past cash positions for analysis and comparison. |
Historical reporting capability for cash positions is specifically called out in product materials. | |
Alerting for Thresholds System can alert users to high/low balances or overdrafts. |
Alerting and notifications for high/low balances or overdrafts included in core product features. | |
Cash Concentration Reporting Analyzes and reports on the concentration of cash in specific accounts/regions. |
Cash concentration analysis and reporting is part of liquidity management offerings. | |
Mobile Access Dashboards and cash positions can be securely viewed via mobile devices. |
Secure mobile access to dashboards and workflow is part of the advertised solution. | |
Visualization Tools Supports charting/graphing for cash trends and comparisons. |
Visualization tools (charts and graphs for cash positions/trends) are a core part of the online portal. | |
Number of Supported Currencies How many distinct currencies can be managed in the system. |
No information available |
Automated Cash Forecasting Engine Generates predictions of cash needs and surpluses. |
Forecasting engine automates the prediction of cash surpluses/needs, part of liquidity forecasting module. | |
Scenario Modelling Allows users to run what-if analyses across various scenarios. |
Scenario modelling ('what if') is offered to analyze liquidity/cash forecasts under various circumstances. | |
Incorporation of Market Events Ability to include market or fund triggers into forecasts (e.g., redemptions, capital calls). |
System incorporates market events such as capital calls/redemptions into cash forecasts. | |
Historical Trend Analysis Uses previous cash movements to improve forecast accuracy. |
Historical trend analysis is implemented using historical data for improved forecast accuracy. | |
Forecast Horizon Flexibility Number of future days/weeks/months that can be forecasted. |
No information available | |
Overdraft/Shortfall Prediction Flags likely shortages in upcoming periods. |
Overdraft and shortfall prediction is actively marketed as a risk mitigation feature. | |
Machine Learning Capabilities Uses advanced algorithms for predictive analytics. |
No information available | |
Integration with Transaction Calendar Aligns forecasts with scheduled payments or receipts. |
Product supports integration with transaction and payment calendars for forecast alignment. | |
Automated Adjustment for FX Movements Adjusts forecasts for expected or simulated currency fluctuations. |
Automated adjustment for FX movements is included, indicated by multi-currency risk management suite. | |
Drill-Down Forecasts by Account/Region Ability to forecast at various levels of detail. |
Forecasts can be drilled down by account/entity via the platform's segmentation features. |
Payment Initiation Users can create and send payment instructions from the platform. |
Platform supports payment initiation directly from the cash management dashboard. | |
Automated Sweeps Automatic movement of cash based on pre-set rules (e.g., cash pooling, zero-balancing). |
Automated sweeps for cash pooling/zero-balancing is a standard core capability. | |
Bulk Payment Processing Support for executing multiple payments in batches. |
Bulk/batch payment processing feature is available for high-volume payment execution. | |
Payment Approval Workflows Multi-step approval chains before payments are released. |
Multi-step payment approval workflows are built into the corporate treasury platform. | |
Outsourced Payment Support Capability for third-party administration or shared services. |
No information available | |
Payment Cut-Off Time Awareness System recognizes and manages payments according to bank cut-off times. |
Payment cut-off time awareness is essential in all J.P. Morgan solutions, with built-in controls. | |
Efficient Settlement Speed Average time from initiation to payment settlement. |
No information available | |
Confirmation & Status Tracking Real-time status and confirmation of payment execution. |
Confirmation and real-time payment status tracking available for all submitted transactions. | |
Integration with FX Trading Platforms Can execute FX trades to support multi-currency payments. |
Integration with FX trading for cross-currency payments is a key feature for global clients. | |
Payment Templates Template storage for commonly recurring payment types. |
Payment templates for common payment types are available for efficiency. | |
Automated Reconciliation of Transactions Links payments to accounting and automatically reconciles cleared items. |
Automated reconciliation of transactions is a critical component of accounting integration. | |
Audit Trails on All Transactions Comprehensive audit trail for every transaction and approval. |
Comprehensive audit trails for each transaction and approval are standard and required for compliance. |
Cash Pooling Structures Supports notional or physical cash pooling across accounts/entities. |
System supports both notional and physical cash pooling. | |
Automated Idle Cash Identification Identifies surplus balances for redeployment or investment. |
Automated identification of idle cash is available as part of liquidity optimization. | |
Liquidity Buffer Calculations Recommends ideal cash reserves for operational requirements. |
Liquidity buffer calculation/recommendation is part of cash management advisory built into system. | |
Short-Term Investment Integration Facilitates instant investment of idle cash (e.g., in MMFs or short-term deposits). |
Short-term investment of idle balances is supported via integration with investment products. | |
Liquidity Stress Testing Runs stress scenarios on liquidity positions. |
Liquidity stress testing is available for scenario planning and risk management. | |
Real-Time Liquidity Dashboard Visual tool for monitoring current liquidity levels. |
Liquidity dashboards showing real-time liquidity balances are included. | |
Customizable Investment Policy Rules Impose rules/limits for liquidity management based on fund mandates. |
Customizable investment policy rules can be configured to reflect fund mandates and constraints. | |
Automated Fund Transfers Automatically reallocates cash between accounts as needed. |
Automated fund transfers between accounts (including auto-sweep) is supported. | |
Idle Cash Ratio Measures the proportion of idle to total available cash. |
No information available | |
Notifications for Suboptimal Liquidity Alerts if liquidity falls outside target thresholds. |
System provides notifications and alerts for suboptimal liquidity positions. |
User Access Controls Advanced permission management based on user roles and responsibilities. |
User access controls and advanced permissioning is a compliance requirement and provided. | |
Audit Logs Comprehensive logs tracking all system access and transactions. |
Comprehensive audit logs are generated for access and all system transactions. | |
Compliance Checklists Built-in or customizable checklists for key regulatory requirements. |
Compliance checklists are built in and can be customized as indicated for institutional clients. | |
Segregation of Duties Support Prevents conflicting roles and process steps from being assigned to the same user. |
System enables segregation of duties to prevent conflicting system role assignments. | |
Anti-Money Laundering (AML) Screening Supports AML/KYC checks for counterparty payments. |
Built-in AML and KYC screening is advertised as part of payment processing compliance. | |
Sanctions Screening Automated screening of transactions/beneficiaries against global sanctions lists. |
Sanctions screening is performed automatically on outgoing payments and beneficiaries. | |
Regulatory Reporting Automation Generates required reports for regulators with minimal manual intervention. |
Automation of regulatory reporting is standard and designed to cover global jurisdictions. | |
Risk Limit Alerts Notifies users if exposures approach or breach pre-set limits. |
Users are notified if exposures approach/breach risk limits; alerts are an integral risk mitigation tool. | |
Change Management Tracking Monitors and logs changes to system configurations and data. |
Change management tracking (configuration and data changes) is supported for audit/compliance purposes. | |
Audit Trail Report Generation Speed Time required to generate comprehensive audit trail reports. |
No information available | |
Compliance Rules Customization Ability to add/modify compliance logic as laws and policies change. |
Compliance rules can be customized as new policies or regulations emerge. |
Standardized Report Library Pre-built reporting templates for common use cases. |
Standardized report libraries for common use cases exist in the reporting suite. | |
Custom Report Builder Users can create tailored reports from system data. |
Users can build custom reports from available system data. | |
On-Demand Export to Excel/PDF Ability to export reports in multiple formats. |
On-demand export of reports to Excel and PDF formats is supported. | |
Automated Scheduled Reporting Reports generated and distributed per schedule. |
Automated scheduled reporting distribution is available for regular oversight. | |
Flexible Date Ranges Allows selection of any reporting period. |
Flexible selection of date ranges for all reporting tools, as required for audit/compliance. | |
Drill-Down/Drill-Through Ability to drill down to transactional details in reports. |
Drill-down from summary reports to line-level transaction detail is included in the system. | |
Data Visualization Tools Dashboards and visualizations for trends, outliers, and comparisons. |
Data visualization dashboards are available and a key selling feature. | |
Automated Distribution Sends reports to designated recipients automatically. |
Reports can be distributed automatically to selected recipients. | |
Ad-Hoc Query Support Users can define and run custom data queries. |
Ad-hoc query support for users to access and query platform data is offered. | |
Data Retention Period How long historical reports and data are retained by the system. |
No information available |
Intuitive User Interface Designed for ease of navigation and understanding. |
J.P. Morgan consistently emphasizes a simple, intuitive UI for institutional users. | |
Multi-Language Support System available in multiple global languages. |
Multiple language interfaces are available for global deployment. | |
Role-Based Dashboards Personalized views based on user function or department. |
Role-based dashboards allow personalization by department or function. | |
Advanced Search & Filter Powerful tools to quickly locate transactions or information. |
Advanced search and filter options are included for rapid data access. | |
Context-Sensitive Help User assistance and tooltips available in relevant screens. |
Context-sensitive help and tooltips are implemented in the UI. | |
Mobile-Friendly Design Optimized for access via smartphones and tablets. |
Mobile-friendly design (responsive for use on tablets and smartphones) is advertised. | |
Accessibility Standards Compliance Meets accessibility guidelines (e.g., WCAG, ADA). |
No information available | |
Concurrent User Support Number of users who can simultaneously access the system. |
No information available | |
Customizable Notification Preferences Users can control which system alerts and communications they receive. |
Users can customize notification/alert preferences on the platform. | |
Time Zone Awareness Displays times/dates in the user’s local time zone. |
Time zone awareness function is standard for global platforms. |
End-to-End Encryption Encrypts data at rest and in transit. |
End-to-end encryption is advertised as part of the platform's strong security measures. | |
Multi-Factor Authentication Requires two or more authentication factors for system access. |
Multi-factor authentication required by corporate security standards. | |
Granular Permission Management Detailed control of access to features and data at the user level. |
Granular permission controls indicated as part of enterprise access/security suite. | |
Data Masking & Redaction Sensitive information is hidden from unauthorized users. |
No information available | |
Security Event Monitoring System logs and monitors for suspicious activities. |
Security event monitoring and SIEM is required by J.P. Morgan internal standards. | |
Disaster Recovery & Backup Automated, regular backups and verified recovery plans. |
Disaster recovery and regular backup capabilities highlighted as enterprise features. | |
Security Certifications (e.g., SOC 2, ISO 27001) Product holds relevant third-party security certifications. |
J.P. Morgan Cash Management has relevant security certifications (e.g., SOC 2, ISO 27001). | |
Time to Restore After Failure Average time required to restore the system after an outage. |
No information available | |
Penetration Testing Frequency How often the system is tested for security vulnerabilities. |
No information available | |
Data Residency Options Ability to specify which country/region data is stored in. |
For global clients, the offering can accommodate data residency options as required by compliance. |
Implementation Timeline Typical time to complete setup and go-live. |
No information available | |
Dedicated Account Manager Access to a named support/account specialist. |
Dedicated account managers are assigned to large enterprise/corporate clients. | |
24/7 Technical Support Support team is available around the clock. |
24/7 technical support is referenced for institutional and enterprise accounts. | |
Online Knowledge Base Extensive online help and documentation. |
Extensive online knowledge base, manuals, and FAQs are provided. | |
Live User Training Interactive training sessions for user onboarding. |
Live and interactive training options are available for onboarding. | |
System Uptime SLA Guaranteed system uptime percentage. |
No information available | |
Customizable Onboarding Plan Tailored onboarding steps for specific fund structures. |
Onboarding plans can be tailored for large funds and complex enterprise clients. | |
Periodic System Health Reviews Scheduled review and tuning of system performance. |
Periodic health reviews of systems for enterprise clients are a support/maintenance feature. | |
User Feedback Mechanism Users can submit feedback or system improvement suggestions. |
User feedback collection mechanisms are included as part of platform UI and support. | |
Integration Support Services Vendor assistance in interfacing with third-party systems. |
Integration support services are offered by J.P. Morgan implementation teams. |
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