Bank & treasury integrations
Move beyond CSV chaos: we integrate core banking formats, host-to-host where available, and statement ingestion so finance teams close the books with confidence.
What you get
- Statement parsing & matching rules
- Payment runs & approval workflows
- Multi-entity & multi-currency patterns
- Audit trails & role-based access
Talk to sales
Share your timeline, budget band, and success metrics — we reply with a clear proposal.
See all enquiry options Open full formWhat we connect
Collections, disbursements, payroll files, and loan repayments — aligned to your bank’s cut-off times and reference conventions. We design for exceptions: failed transfers, partial matches, and reversals.
Security & compliance
Least-privilege keys, encrypted channels, segregated environments, and logging that satisfies internal audit and external review — without slowing day-to-day operations.
Talk to us
Same team — pick the channel that fits
Request a guided demo, send a formal email, or message us on WhatsApp. We’ll route you to the right specialist.
See it in action
Screen-share walkthrough, tailored to your workflows — usually 20–30 minutes.
Email info@jutech.co.ke
Best for attachments, procurement, or formal introductions.
Fast questions
Pricing ballpark, fit, or timeline — we reply when online, or follow up by email.