Boost your treasury through real-time information, maximum process automation, and control

Enhance SAP S/4HANA cash management functionality with advanced AI-driven capabilities for intelligent bank statement processing—intraday and end-of-day—automating the categorization, reconciliation, and recording of transactions with exceptional accuracy and speed. It also offers a comprehensive suite of reports and dashboards, interest settlement and end-to-end process control, empowering treasury teams with deeper insights.

Benefits

  • Boost productivity with bank account statement processing automation

    Achieve greater efficiency and accuracy in managing your bank statement operations with a solution that minimizes manual work. By automating reconciliation, classification, and posting processes, you gain faster closing cycles, fewer errors, and better cash visibility.

  • Make better accuracy cash decisions with complete and timely information

    Receive real-time information through intraday and end-of-day bank statement management, with continuous reconciliation against the best-fit cash flow forecasts.

  • Improve coordination between accounting and treasury areas

    Experience an enhanced quality of treasury and accounting information with a single source of truth and end-to-end process control, ensuring compliance and accelerated financial closing.

Features

Run interest calculations and settlements for bank current accounts

Interest on bank and intercompany current accounts is calculated by incorporating relevant fees (e.g., account maintenance or overdraft fees) and applying fixed or floating rates. This procedure supports financial expense management and ensures correct accrual postings for period-end closing.

Run interest calculations and settlements for bank current accounts
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Access a clear and streamlined cash position worksheet application

Our decision-focused application provides a clear overview of the cash position for quick assessment and is able to drill down into component flows for in-depth analysis when necessary.

Access a clear and streamlined cash position worksheet application
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Reconcile and post Zero-Balance sweeping transactions automatically

The solution enables automatic pre-reconciliation of sweeping transactions, facilitates automated posting to intercompany current accounts, and supports effective control over standard zero-balance sweeping (ZBS) schemes.

Reconcile and post Zero-Balance sweeping transactions automatically
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Plans and pricing

All plans include:

Bank statement monitoringReconciliation engineZero-balance sweeping reconciliation and postingCurrent account interest settlementCash position and liquidity forecast app

Technical Information

Solution type Extensions and Add-ons
Category Treasury and Working Capital Management
Industry Cross-Industry, Automotive, Chemicals, Aerospace and Defense, Agribusiness
Works with
  • SAP S/4HANA Cloud Private Edition
  • Identity Authentication
  • SAP Build

Resources

Pyxis Cash Management Add-On (cloud version) - Commercial Flyer

Pyxis Cash Management Add-On (cloud version) - Solution Presentation

Support and service level conditions

Publisher