JHA Treasury Management™
Flexible Cash Management for Commercial Accounts
JHA Treasury Management™ is designed specifically for mid-size to large commercial customers. It helps manage day-to-day cash flow as well as long-term financial positions. Users get account access, account information, transaction history, and stop payments, along with the ability to decision positive pay items such as checks and ACH.
This highly configurable cash management solution enables you to provide a better user experience through feature-rich capabilities, speed, and simplicity. It’s an offering that aggressively and successfully competes with banks of any size by providing the convenience and accessibility that today’s commercial accounts require.
This solution is available to banks automated by the SilverLake System® platform.
What It Does
- Enables commercial customers to manage day-to-day cash flow
- Helps commercial customers manage long-term financial positions
- Provides multiple payment options, such as ACH, transfers, and wires
- Enforces high security standards
What It Does For You
- Attracts and retains commercial accounts
- Creates lending and line-of-credit opportunities