Cash Management Automation
Gain real-time control, eliminate manual errors, and unify your cash position across accounts and entities — without spreadsheets or risky workarounds. Nutrient delivers tools built for precision, security, and operational agility.


How We help
How we help
Replace scattered files with a central hub
Manual cash forecasts and fragmented records expose your business to risk. Nutrient brings all your cash operations into a single, auditable system built for dynamic finance teams.
Unify visibility, end uncertainty
Standardize bank reconciliations, cash positions, and intra-company transfers — know where funds stand at any moment, company-wide.
Automate reconciliations and reporting
Trigger reconciliations, allocations, and sweeps by account, entity, or threshold — with smart rules and compliance controls built in.
Boost visibility and oversight
Live dashboards and alerts give treasury and finance teams immediate insight into cash balances and variances, without constant manual checks.
Boost visibility and oversight
Live dashboards and alerts give treasury and finance teams immediate insight into cash balances and variances, without constant manual checks.
Scale confidently across accounts
Configure once, use everywhere. Nutrient adapts to complex bank structures and approval policies — with no custom development required.
Key features
Key features
No-code cash workflow builder
Design and launch automated cash workflows for reconciliations, sweeps, funding requests, and more. Drag-and-drop tasks, route approvals, and set escalation logic in a visual interface.
Accessible, secure forms
Deploy web-based cash reporting and transaction forms with robust field validation, templates, and audit-ready layouts. Capture every detail cleanly and ensure secure handoffs.
Self-service cash portal
Empower teams to submit transfer requests, complete reconciliations, and monitor cash status — all from a unified, permission-based dashboard.
Real-time cash tracking & analytics
Monitor every cash movement with full histories, audit trails, and live dashboards. Surface KPIs to spot trends or exceptions instantly.
API-first integration
Connect cash operations directly with ERPs, accounting platforms, and banks via Nutrient’s open API and AWS Lambda. Automate postings, status updates, and real-time synchronizations.
Bank and finance system integration
Sync live account balances, initiate approved transactions, and streamline reconciliation processes with direct links to your banking and finance systems.
Trusted by leading organizations
Benefits
Benefits
Collect structured data for forecast, transfers, and reconciliations — and run them through repeatable, auditable workflows every time.
Collect structured data for forecast, transfers, and reconciliations — and run them through repeatable, auditable workflows every time.
Route approvals, auto-escalate exceptions, and trigger reconciliations or notifications without manual involvement.
Push and pull data across your core finance stack — no more re-keying or mismatched reports.
Embed rules, segregation of duties, and thresholds to meet internal policies and regulatory standards.
Provide teams a clear, self-service interface for initiating and tracking all cash activities — so adoption is instant.
Get started today
See how modern cash management automation transforms finance — giving your teams more oversight and saving them hours every week.

Connect to your tools, your way
Workflow Automation integrates with your tech stack — including finance systems, procurement platforms, and approval tools — using APIs, webhooks, or SFTP. No extra middleware required.
Frequently asked questions
Why automate cash management?
Automation eliminates data silos, speeds up reconciliation, improves accuracy, and gives finance leaders the insights they need to make faster, smarter liquidity decisions.
How does Nutrient support cash management automation?
Nutrient’s no-code platform lets you build workflows that pull in bank data, update positions, trigger alerts, and handle approvals — all while keeping records centralized and audit-ready.
Do treasury teams need coding skills to manage this?
Not at all. Treasury and finance teams can build and manage automations through Nutrient’s drag-and-drop interface. IT only steps in for more advanced integrations.
How does this improve compliance and audit readiness?
Automated workflows enforce approvals, log every movement, and maintain clean records — reducing fraud risk and making audit prep much faster.
How quickly can we roll out cash automation workflows?
Basic automations (like daily cash position updates) can go live in a few days. Larger workflows tied to global cash pools or forecasting models may take a few weeks.
What’s the impact on cash visibility and liquidity planning?
You’ll gain real-time insights, faster reaction times, and more accurate forecasts — helping you optimize liquidity and avoid idle or shortfall scenarios.
Get started today with a free trial
See how modern cash management automation transforms finance — giving your teams more oversight and saving them hours every week.
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