Orama

Orama

Orama is a treasury management software tailored for SMEs and startups, enabling efficient cash flow automation and financial forecasting.

Location: Spain
Software Type: Web App

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Description

Orama is a comprehensive treasury management platform designed specifically for small and medium enterprises (SMEs) and startups. The application offers a range of functionalities that streamline the management of treasury functions, making financial oversight accessible and efficient.

Key Functionalities:
- Daily Treasury Management: Users can manage their daily treasury activities through an intuitive dashboard that provides real-time visibility of cash flows.
- Automatic Reconciliation: Orama automates the reconciliation of financial movements, significantly reducing errors and manual workload.
- Rolling Forecasts: The software allows users to create rolling forecasts, helping businesses anticipate future cash flow needs and make informed financial decisions.
- Multi-Company Support: Orama enables users to manage treasury operations for multiple entities from a single platform, catering to businesses with diverse operational structures.
- Financial Scenario Visualization: Users can simulate different financial scenarios to evaluate the potential impacts of various business decisions.

Orama is equipped with features that enable automatic financial predictions, essential for proactive cash flow management. The platform also emphasizes user-friendliness, ensuring quick setup and ease of use.

With a commitment to enhancing financial efficiency, Orama provides various pricing plans to accommodate different business needs, including a free plan for basic usage and paid options for advanced functionalities. Users can also request a demo to see the software in action, further supporting their decision-making process.

Features

Treasury Dashboard

A centralized dashboard providing real-time insights into cash flows and treasury activities.

Automated Cash Flow Forecasts

Generates financial forecasts automatically to assist in cash management.

Financial Scenario Simulation

Allows users to visualize potential financial outcomes based on different business strategies.

Automatic Reconciliation

Streamlines the reconciliation process of financial transactions to reduce manual errors.

Multi-Entity Management

Supports treasury management for multiple companies within a single platform.

Tags

financetreasuryautomationSMEsstartups

Documentation & Support

  • Installation
  • Documentation
  • Support
  • Updates
  • Online Support