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Treasury Management Platform

One platform.
Total treasury control.

End-to-end treasury for multi-entity groups — cash, debt, FX, trade finance and covenants in a single live system, with AI forecasting built in.

0x
Faster cash decisions
0%
Manual work automated
0yr+
Forecast horizon
Group cash position
SAR 30M
▲ 3.4% MoM
Available
SAR 20M
Net position
SAR 24M
Covenant OK Forecast +SAR 0.9M
Connected to the banks you already use
SNBAl RajhiRiyad BankSABSIDFAlinmaANBHSBC SNBAl RajhiRiyad BankSABSIDFAlinmaANBHSBC
What it does

Everything treasury, in one system

From the daily cash cockpit to IFRS disclosure and AI forecasting — one audited source of truth.

Treasury Cockpit

Real-time cash by entity, bank and currency, with covenant, overdraft and limit alerts pinned on top.

Operations

Facilities, deals, bank reconciliation, in-house banking, FX and rate risk, trade finance and guarantees — one workflow.

Reporting

Cash position, cash flow, debt, risk, bank cost, intercompany and IFRS-ready statutory disclosure, generated on demand.

Predictive Analytics

Cash flow forecasting, covenant breach early warning, idle-cash sweeps, fee anomaly detection, liquidity-at-risk and rate shocks.

Bank Connectivity

Host-to-host, SARIE and bank APIs, plus NAWRAS and ERP feeds — statements, payments and balances land automatically.

Governance & Controls

Maker–checker, delegation of authority, an immutable audit trail and period lock across every transaction.

Plug & play

Go live in seconds, not quarters

No implementation project. Plug in your banks and ERP — AI does the setup, mapping and forecasting for you.

Step 1

Plug in banks & ERP

Connect your banks and ERP in a click — feeds start flowing in seconds. No middleware, no IT project.

Step 2

AI maps your data

AI classifies accounts, entities, GL and cash-flow categories automatically — no manual setup.

Step 3

Cash on screen instantly

Live group cash — by entity, bank and currency — on the cockpit from second one.

Step 4

Reports auto-built

Cash flow, debt, risk and IFRS disclosure generated on demand from the same live source.

Step 5

AI forecasts & alerts

Forecasting, covenant early warning, idle-cash sweeps and rate-shock simulation — always on.

Who it's for

Built for complex groups

Multi-entity, multi-bank, multi-currency — wherever cash is hard to see.

Manufacturing
Packaging
Retail & FMCG
Real Estate
Digital & Technology
Holding & Investments
By the numbers

A live picture of the group

Every figure updates from one audited source — no spreadsheets, no re-keying.

Faster cash decisions
0x
Manual work automated
0%
Platform uptime
0.9%
Forecast horizon
0years+

Cash flow — plan vs actual

Mar
Apr
May
Jun
Jul
Aug
Sep
Oct

Cash by currency

SAR 72% USD 18% EUR 6% Other 4%
Proof

Results that move the needle

What treasury teams get after switching to one system.

Cash visibility
T+0
Measured result

Daily group cash on one screen

Challenge

Cash scattered across 16 entities and 12 banks, visible only at month-end.

Solution

Bank feeds plus the segment cockpit gave a live consolidated position.

Result

Same-day cash visibility across the whole group.

Covenants
0
Unplanned breaches

Never surprised by a covenant again

Challenge

Covenant headroom tracked by hand in spreadsheets, discovered too late.

Solution

Automated ratios from actuals with projected-breach early warning.

Result

Breaches flagged a quarter ahead; zero unplanned reclassifications.

Bank cost
6-figure
Fees recovered a year

Recovered fees and freed dead guarantees

Challenge

Bank charges drifting above tariff and commission on commercially-dead guarantees.

Solution

Fee anomaly detection and dormant-guarantee release identification.

Result

Recovered a six-figure sum a year in fees and freed non-funded limits.

One source of truth
Modules
30+
Integrations
40+
Dashboards
25+
Uptime
99.9%
Why Nawras Treasury

The whole treasury, not a point tool

Most tools do one thing. This runs the entire cash-to-disclosure chain on one audited platform.

Consolidation → segment → entity in every view
Maker–checker and full audit trail on every transaction
IFRS-aligned statutory disclosure, on demand
AI forecasting and scenario simulation built in
Multi-bank connectivity, no re-keying
Runs in the browser — nothing to install
0.9%
Platform uptime
0x
Faster cash decisions
0%
Manual work automated
0yr+
Forecast horizon
Voices

What treasury leaders say

★★★★★
“For the first time we see the group’s cash in real time — no more waiting for month-end.”
AN
A. Nasser
Group Treasurer
Questions

Frequently asked

The essentials, answered.

Yes — it’s plug-and-play. Connect your banks (host-to-host, SARIE and bank APIs) and your ERP or accounting system (SAP, Oracle, Microsoft Dynamics, Odoo and others), and data starts flowing in seconds: statements, balances, payments, general ledger and master data. Where a live feed isn’t available yet, manual upload works as a fallback. No middleware to build and no IT project to run.

The statutory pack covers the IAS 7 net-debt reconciliation, IFRS 7 and IFRS 9 disclosures, IAS 23 borrowing costs, IAS 37 contingent liabilities and transfer pricing — all generated from the same audited data that drives the cockpit. Year-end disclosure is produced on demand from live figures instead of being rebuilt by hand every close, and estimates are always kept separate from booked numbers.

It’s a driver-based cash-flow forecast. The AI learns your historical patterns and projects every line forward over a 5-year-plus horizon, with per-line simulation you control — by percentage or absolute amount, every month or as a one-off. It’s fully explainable, not a black box: you can see exactly what moves each number, and forecast figures are clearly separated from actuals.

Yes. A Consolidation → segment → entity model runs through every screen and every report, so you can move from the whole group down to a single business unit, bank or currency in one click. Intercompany positions are netted and eliminated automatically — no re-keying and no reconciliation between separate tools.

Seconds, not quarters. Because it’s plug-and-play, you connect your banks and ERP and the AI maps accounts, entities, GL and cash-flow categories automatically — live cash appears on the screen from day one. Reporting and predictive analytics switch on the moment the data lands. There’s no lengthy implementation, configuration project or consulting engagement.

See your group’s cash on one screen

Plug in your banks and ERP and go live in seconds — cockpit, reporting and AI forecasting, ready to use.

Get in touch

Talk to us

Tell us about your group and we’ll show you the platform on your numbers.

Email
treasury@nawras.pro
Phone
+966 11 000 0000
Office
Riyadh, Saudi Arabia
Group Finance · Riyadh