Sage XRT

Sage XRT has been designed to address the main priorities of financial departments in terms of steering, completeness, coherence and quality of treasury data. The platform, in line with the new uses, supports you in the management of your financial value chain. You have real-time access to consolidated financial information and analysis in real-time. More collaborative, and international in scope, it provides real productivity gains and streamlines processes within the company.

Why choose Sage XRT Solutions ?

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Security

ISO 27001/27018 and ISAE 3402 certification, SWIFTReady for Corporates – Cash Management label

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Speed ​​and agility

Integration of the solution in 20 days

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Performance

100,000 accounting lines in 20 seconds

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Reliability

Solution used by the largest French banks

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Satisfaction

Over 2,300 customers use XRT Solutions

Optimize the management of working capital, liquidity, lead an effective strategy and gain a competitive advantage.

Controlling your cash flow

A real-time view of your liquidity enables you to make rigorous trade-offs, to monitor the activity of the company and all its subsidiaries and to optimise relations with banking partners.

Reconciliation of your financial flows

A powerful automated reconciliation tool (up to 90%) optimises processing times for large volumes of data. The reconciliation criteria are unlimited, fine-tuned and very advanced. Manual reconciliation is greatly facilitated, thanks to a screen that can be customised by user.

Managing banking powers

Banking powers are an essential element in the company’s financial security chain. They define who can do what on company bank accounts.

Reporting

Business dashboards with key indicators are customised according to the company’s activity and the profiles of each user. A report designer is integrated, offering numerous possibilities for analysing data either through a data grid, a pivot table or a graph, or for exporting data in various formats (Excel®, PDF, other configurable formats).

A collaborative and open working platform

It facilitates exchanges with your company’s financial players (treasurer, CFO, banks, etc.) and integrates with Sage solutions as well as with all the ERP systems on the market. Data exchanges are facilitated thanks to a configurable interface enriched with converters.

Optimisation of the Subsidiary-Holding relationship

The intra-group organisation chart and the relationship between the parent company and its subsidiaries should be defined according to the internal organisation of the company. Different types of relationships are possible, such as the transfer of funds or loans.

Increased productivity

Accessible via a simple internet browser and from different devices (computers, tablets, smartphones), the platform, offering simple, intuitive and user-friendly navigation, allows secure access anywhere and at any time to share financial information.

Benefit from end-to-end and real-time visibility of your liquidity, and optimise your financial resources.

  • Accessible technology
  • A global view of liquidity
  • Full compatibility
  • Smarter decisions
  • Reinforced security
  • Reduced risks
  • Reduced costs
  • Better efficiency
  • Seamless integration
  • Comprehensive cash flow management
  • Normative compliance

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Success Stories

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OLMIX – OLMIX CHOOSES SAGE X3 AS A TOOL FOR ITS INTERNATIONAL DELELOPMENT

Olmix chooses Sage x3 as a tool for its international development.

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09.05.2022

SERGE FERRARI – INTERNATIONAL EXPERTISE FOR INTERNATIONAL CHALLENGES

"We chose the Deveho Consulting Group for its international expertise and also for its ability to implement business Add-ons around Sage X3. Deveho presents a real technical ease in all fields where our ambition leads us." _ Richard Berlande - CIO of Serge Ferrari.

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SBM – DEVEHO ASSIST THEM IN THEIR INTERNATIONAL EXPANSION

Deveho helped us to stay on track by immediately assessing the deadlines at stake. Laurence Martinet, Director of Information Systems at SBM.

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