What the platform does
One control layer over every account and payment rail
Crushexplee pulls balances, initiates payments, and matches transactions across your whole banking footprint — replacing portals, spreadsheets, and manual SWIFT files with one workflow.
Cash Visibility
Real-Time Cash Positioning
Live balances and forecasted positions across every bank and entity, refreshed continuously so you never reconcile yesterday’s numbers.
- Auto-pulled balances and intraday transaction feeds
- Rolling 13-week and daily liquidity forecasts
- Group, entity, and account drill-down in one view
Payments
Multi-Rail Payment Orchestration
Initiate, approve, and route ACH, wires, SEPA, and cross-border payouts from a single queue, with policy-driven approval chains.
- Dual-control approvals and signer limits
- Sanctions and beneficiary screening before release
- Least-cost routing across rails and FX providers
Reconciliation
Automated Bank Reconciliation
Match statements to ledger entries automatically and post the rest with confidence, closing the gap between treasury and the GL.
- Rule-based and machine matching at scale
- Multi-entity, multi-currency netting
- Exception queues with a clear audit trail
Controls
Risk & Compliance Reporting
Turn raw banking activity into the reports your controller, auditor, and board actually ask for — without exporting to a spreadsheet.
- FX and counterparty exposure dashboards
- Segregation-of-duties and approval logs
- Board-ready liquidity and cash-flow packs