Master Your Cash. Modernize Your Treasury.

Your team wants better treasury insights. Your CFO wants fast ROI. Treasury4 for Care gives both—with a rollout that takes days, not months.  

Payer contracts. Reimbursement policies. Government regulations.

In the care sector, they all make accurate cash forecasting feel out of reach. That’s why organizations turn to Treasury4—to make confident decisions, faster. These four tools are helping care organizations rethink reporting and get ahead of their cash flow.

Get instant visibility into cash positions with Cash4

Unify reporting across complex entities with Entity4

Automate approvals with customizable, secure, compliant workflows with Payments4

Track liquidity trends instantly with automated reporting in Analytics Studio

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“The biggest impact is the accessibility of the data. With cashflow reporting, we're no longer coming from this reactive response and the reporting allows us to take a proactive approach to working capital.”

— Chris Blow, Senior Director of Treasury at Twilio

If you’re a treasury leader in care—whether that’s Hospice, Insurance, Veterinary, Assisted Living, Anesthesia Groups, U.S. Fertility Clinics, or Hospital Networks—this is built with you in mind.

Treasury4 is purpose-built for care treasury and finance. Read more about the complexity we’re built to handle.

Want the same results? Let’s chat.

Real-Time Visibility Across All Entities

Less Risk With Dynamic Reporting Built for Audit Readiness

Onboard in Days

Automated Reconciliation Reduces Reporting Time

Cut Reporting Time by 50%

Real-time updates, automated matching, and a clean month-end.

See How Treasury Teams Are Solving for Complexity

Get practical takeaways from teams who’ve replaced manual work with smarter solutions, without increasing their system complexity.

Make Treasury Work for Patient Care—Not Against It

Get a clear breakdown of why traditional treasury systems hold care organizations back—and how to move faster with visibility, control, and less manual work.

Cash Flow Forecasting: Tools and Strategies for Accurate Predictions

See how care finance teams are improving cash forecasting with real-time visibility and automated insights—without adding new systems or extra headcount.

How Advanced Cash Reporting Powers Smarter Treasury Decisions

Learn how forward-thinking treasury teams are using dynamic dashboards, multi-entity cash consolidation, and custom analytics to optimize liquidity, improve reporting accuracy, and support organizational growth.

Turn your treasury function into a value-creation engine with these tools:

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Two years of cash data.
15+ bank portals.
50K+ in transactions.

FreshWorks automated it all in 7 days. What’s your treasury team doing this week? See how fast you can get started.

Why do finance teams choose Treasury4?

Because they need to see their cash—fast

No more logging into five systems or waiting on reports.

Manual work is draining their team’s time

Treasury4 automates reconciliations, approvals, and forecasting.

To get immediate ROI

Free up working capital resources for priorities like new locations and patient care.

They need better forecasting to grow

Treasury4 gives them the clarity to reinvest with confidence.

Because long rollouts don’t work for their schedules

Treasury4 is up and running in days—not months.

To build a treasury powered by business intelligence

Integrating advanced data analytics across multiple data sources into their treasury operations

Start Making Faster,
Smarter Treasury Decisions

Talk to us about your current process.