ATOM Finance and Accounting
Automate the accounting lifecycle for bank transactions, capital markets and financial risk management trades
ATOM Finance and Accounting
Automate the accounting lifecycle for bank transactions, capital markets and financial risk management trades
A Complete Treasury Subledger
ATOM Finance and Accounting provides a full function subledger for all ATOM modules and activities
Automatically create accounting for all Treasury activity - cash movements, payments, debt, investments, credit facilities, derivatives, and fees
ATOM Financial Reporting
Cash Accounting
Automate the creation of journal entries for cash activity using ATOM's powerful matching and clearing rules.
Accrual Accounting
Automate the creation of accrual journal entries for all capital market deal types
Cost Accounting
Automate the creation of cost amortization journal entries for all capital market deal types, ATOM supports effective yield for bullet and amortizing deal types, book value projection, and unlimited user-defined costs types for the automation of all cost types such as legal expenses and dealer fees.
Fair Value Accounting
Automate fair value, hedge accounting, and hedge effectiveness including to/from OCI
ERP Integration
Integrate with the top ERP providers for GL account validation, cash forecasting imports, and GL feeds.
Reporting
The ATOM Subledger supports full accounting reporting for future book value projections, trial balance, and interest accrual projections
Explore ATOM Treasury & Risk Solutions
Multi-Bank Cash Positioning
Achieve instant visibility of global cash, while eliminating error prone spreadsheets and manually downloading bank statements, leveraging automation to reduce costs, improve data quality and decision-making.
Forecasting and Liquidity
Significantly improve visibility of cash and liquidity needs by leveraging disparate data into one application, while reducing interest expense.
Bank Relationships & Fees
Increase visibility and reduce fees across your banking structure, while better understanding bank performance and share of wallet, at the same time ensuring compliance with KYC & FBAR regulations.
Payments
Reduce the risk of fraud and the cost of payments and provide visibility into the status of each payment, while ensuring compliance with custom workflow.
Capital Markets
Reduce errors and ensure policy compliance by automating the tracking of deals, trades, cash flows, schedules, accounting and more, while covering a broad set of debt and investment securities.
Accounting for Cash, Accruals and Costs
Reduce errors and ensure policy compliance by automating the tracking of deals, trades, cash flows, schedules, accounting and more, while covering a broad set of debt and investment securities.
Loan Syndication
Reduce costs by automating the activities associated with administering large commercial loan or lease portfolios seamlessly linking with existing servicing systems to improve service, reporting and decision-making
Short Term Funding & Liquidity
Reduce the costs and risks when accessing the capital markets while also reducing interest expense, automating direct issuance workflows, liquidity forecasts and payments.