Give your business local collection options, multi-currency visibility and practical controls for global treasury operations.
Centralize collections and reduce manual reconciliation across markets.
Receive funds through supported local account details and rails.
View balances by currency and operating entity.
Send funds to suppliers, teams and operating accounts.
Keep finance workflows visible, controlled and ready for reporting.
Separate operational funds by currency, team or use case.
Review exchange flows and conversion records.
Support month-end reconciliation with downloadable records.
Submit KYB, configure currencies, activate collection details, test transfers, then expand markets as volume grows.
Talk to TenacePay about markets, products and the right launch path for your company.