Information and reports
Up-to-date information for better decisions
An essential element in effective cash management is the availability of relevant and timely information. You need to monitor the payment process and know exactly how your liquidity is at any time.
Cash management becomes easier if you have more accurate and timely information. User-friendliness, real-time reports and the possibility of reconciling your bank accounts are key factors for successful liquidity management.
Nordea is at the forefront of electronic banking. Our electronic banking systems are designed for local needs, yet also provide tools for managing accounts across borders. A parent company or a treasury centre can manage liquidity and obtain information from any Nordea unit.
If your company wants to establish a shared service centre or another administrative structure, we can supply you with the necessary systems and support. We aim for a seamless look and feel which will facilitate decision-making and streamline operations.
For more information, please look at the local sites.