Treasury Management

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Treasury Management Products

In the banking industry, you want to deliver products and services that help your commercial customers save time, manage risk and improve earnings. With treasury management products from CSI, you can offer the cash management solutions your commercial customers need and want, while also collecting fee-based revenue for your bank.

Our Treasury Management Solutions

CSI’s commercial banking solutions include a suite of cash management tools that are designed to help your commercial customers improve cash flow, manage existing financial accounts, control risk and leverage available cash to their benefit.

Learn more about how CSI’s Treasury Management products can help your bank’s customers build robust cash management strategies. Contact us today—a member of our team will reach out to you. 

What Is Treasury Management?

Treasury management is the process of administering the financial assets and holdings of a business with the goal of optimizing liquidity, reducing financial risk and making sound financial investments with any excess cash.

With the help of CSI’s bank treasury management, your financial institution is empowered to:

  • Understand the cultures, processes and needs of individual businesses
  • Effectively consult with your customers on how bank services can help them reach their objectives