Aritma for CFOs
Approve, track and analyse cash flows across banks and entities from a single dashboard.
With accurate, real-time data in one place, you know where cash is, what has been paid and what’s pending – so every decision rests on solid ground.
No. Aritma is designed to work with the ERPs and banks you already have. We connect to your existing systems and standardise the data between them, so you get better visibility and automation without a big-bang replacement project.
It depends on your number of entities, banks and ERPs, but many finance teams start with a focused scope and see benefits within weeks. You can then expand to more entities, banks or processes in phases, based on your priorities.
Yes. Aritma is built for corporate groups with several entities, currencies and bank relationships. We consolidate and normalise data so you can understand cash and transactions at both entity and group level.
Aritma supports role-based access control, clear approval workflows and full audit logs. You can align access rights with your existing policies and ensure that payment initiation, approval and reconciliation follow your segregation-of-duties requirements.
Share a few details about your current finance setup, and we’ll show you how Aritma could improve cash visibility, controls and efficiency – without disrupting your existing systems.