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Overview
Nomentia provides enterprise-level cash management by centralizing payments and bank data. Although some users may find its advanced mapping settings initially complex, its modern interface and ability to unify group-wide cash visibility deliver strong value. Overall, it serves as a specialized tool for global treasury control.
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Starting Price
Custom
Nomentia Specifications
Financial Reporting
Budgeting And Forecasting
Bank Reconciliation
Audit Trails
What Is Nomentia?
Nomentia is a cloud-based treasury and cash management platform designed for enterprises to control global finances. Its ‘Payments Hub’ centralizes and automates all payment processes, including sanction screening and reconciliation. The system also provides AI-powered cash flow forecasting, consolidating data from banks and Enterprise Resource Planning software (ERPs) to deliver precise liquidity insights.
Nomentia Pricing
Nomentia Integrations
The platform integrates with several third-party applications and systems, such as:
- Sage
- Infor
- Epicor
- SAP
- Acumatica Cloud ERP
Who Is Nomentia For?
Nomentia is well-suited for a wide range of industries and sectors, including:
- Manufacturing
- Engineering
- Automotive
- Energy
- Transportation
Is Nomentia Right For You?
Enterprise treasury teams often struggle with fragmented payment processes and managing financial risk across multiple banks. Nomentia addresses this by providing a unified, secure platform. Its commitment to verifiable security is demonstrated by ISO/IEC 27001, ISAE 3402, and SWIFT certifications. This focus on compliance makes it a strong fit for large, security-conscious organizations.
Still doubtful if Nomentia software is the right fit for you? Connect with our customer support staff at (661) 384-7070 for further guidance.
Nomentia Features
Nomentia features centralized cash flow forecasting, guarantee and loan management, bank account monitoring, treasury reporting, and bank fee analysis. Workflows automate treasury processes across units and systems, enabling more accurate forecasting and streamlined financial operations.
With this feature, the platform consolidates exposure data, manages derivative deals, and automates risk calculations such as Value-at-Risk (VaR) and Cashflow-at-Risk (CfaR). Scenario analysis, hedge optimization, and customizable reporting provide clearer insights for informed financial decisions.
The platform includes built-in controls to detect anomalies, prevent double payments, and enforce treasury and finance policies. Automatic data validation and alert systems enhance payment security and reliability, reducing errors and mitigating fraud risks.
The platform provides centralized, real-time cash flow forecasts using AI-driven predictive analytics. Automated data consolidation from banks, ERP, and treasury systems enables accurate short-, medium-, and long-term projections, supporting strategic financial planning and reducing manual effort.