Vaulta

Solutions

Treasury clarity for every finance function.

Vaulta gives finance leaders, treasury teams and controllers one shared view of cash, with the controls each role needs.

01

Finance leaders

Turn treasury data into confident decisions.

Give the CFO and board a dependable view of liquidity, runway and exposure without waiting for spreadsheet reconciliation.

  • Consolidated liquidity
  • Board-ready reporting
  • Forecast scenarios
02

Treasury teams

Run daily cash operations with less manual work.

Monitor balances, automate account sweeps and coordinate payments across every entity from one controlled workflow.

  • Daily cash position
  • Policy automation
  • Counterparty visibility
03

Controllers

Close the gap between cash movement and accounting.

Keep approvals, evidence and transaction context together so reporting and reconciliation start with cleaner data.

  • Approval evidence
  • Audit trail
  • Accounting exports

By company stage

From first treasury hire to global operations.

Start with a reliable cash view, then add multi-entity forecasting, policy controls and automation as complexity grows.

Across industries

Built around cash complexity, not a narrow sector.

Vaulta supports software, services, commerce and other businesses coordinating cash across accounts, currencies and entities.

Security & controls

Security and permissions built in.

Enterprise-grade protection with controls that stay clear for every team.

Explore Vaulta security
01

Role-based access

Give every person the right level of control.

02

Approval policies

Set thresholds, signers and separation of duties.

03

Encrypted by design

Protect data in transit and at rest.

04

Complete audit trail

Keep a clear record of every sensitive action.