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Top 10 FIS Treasury and Risk Manager Alternatives 2026

Enterprise treasury and risk management, formerly Quantum

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Trusted by 2M+ software buyers annually.

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  • FIS Treasury and Risk Manager offers custom pricing plan

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FIS Treasury and Risk Manager is a Treasury Management Software platform. Teams looking for alternatives typically need better pricing flexibility, easier deployment, or a closer feature fit for their specific use case. Below you'll find 10 vetted Treasury Management Software alternatives ranked by user rating, with filters to narrow by pricing, platform, and features — so you can find the right fit for 2026.

FIS Treasury and Risk Manager vs Top Alternatives at a Glance

Side-by-side comparison of pricing, user rating, and free trial availability to help you decide faster.

ToolBest ForPricingRatingFree Option
FIS Treasury and Risk Manager CurrentTreasury Management SoftwareCustom pricingNo reviews✗ No
ION TreasuryTreasury Management SoftwareCustom pricingNo reviews✗ No
AtlarTreasury Management SoftwareCustom pricingNo reviews✗ No
Fennech FinancialTreasury Management SoftwareCustom pricingNo reviews✗ No
PanaxTreasury Management SoftwareCustom pricingNo reviews✗ No
NilusTreasury Management SoftwareCustom pricingNo reviews✗ No

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List of the Top FIS Treasury and Risk Manager alternatives as of September 2026

Compare business software, products, and services to find the best solution for your business or organization. Use the filters on the left to drill down by category, pricing, features, market segment, user ratings, and more.

ION Treasury - Logo

ION Treasury

Portfolio of enterprise treasury management systems

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✦ Editor’s Pick

What is ION Treasury?

ION Treasury operates a family of treasury management systems including Reval, ITreasury and Openlink, covering cash and liquidity, risk management, hedge accounting and financial instruments for large treasuries.

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Atlar - Logo

Atlar

Bank connectivity and payment automation for treasury teams

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What is Atlar?

Atlar connects treasury and finance teams to their banks through one API and dashboard, covering payment initiation, reconciliation and cash visibility across multiple bank accounts and currencies.

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Fennech Financial

Automation for treasury, banking and reconciliation workflows

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What is Fennech Financial?

Fennech Financial automates treasury and back-office finance processes including bank account management, reconciliation, intercompany settlement and payment workflows.

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Panax

AI-assisted cash management and forecasting

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What is Panax?

Panax aggregates bank accounts into a single cash position and produces short-term forecasts with variance tracking, aimed at finance teams that outgrew spreadsheets but do not need a full enterprise TMS.

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Nilus

Treasury and payment operations automation

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What is Nilus?

Nilus centralises cash visibility, reconciliation and payment operations across banks and payment processors, targeting finance teams at fintech and marketplace businesses with high transaction volume.

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Salmon Software

Treasury management for mid-sized corporate treasuries

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What is Salmon Software?

Salmon Treasurer covers cash management, forecasting, debt and investment instruments, risk and hedge accounting. Salmon Software has focused on corporate treasury for decades and targets mid-sized treasury departments.

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Embat

Real-time treasury for mid-market and large finance teams

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What is Embat?

Embat gives finance teams real-time visibility of cash position, liquidity and debt, with native connectivity to a reported 15,000+ banks worldwide. It covers treasury analytics, forecasting and budgeting with scenario modeling, automated accounting and reconciliation, a payments factory for ...

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Common Features

No common features

Unique Features

  • Dashboard

  • Analytics

  • Reporting

+ 5 more

Pricing

Embat offers custom pricing plan

Treasury Systems - Logo

Treasury Systems

Nordic treasury platform for cash, debt and risk

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What is Treasury Systems?

Treasury Systems provides a treasury management platform covering cash positioning, forecasting, debt and investment portfolios, FX exposure and reporting, used mainly by Nordic and European corporates.

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Bottomline

Business payments, cash management and fraud monitoring

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What is Bottomline?

Bottomline handles business payment execution, cash positioning and payment fraud detection across banking and corporate customers. Its treasury side covers cash visibility, bank connectivity and real-time payment monitoring.

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TIS

Bank connectivity and cash forecasting for multinational finance teams

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What is TIS?

TIS (Treasury Intelligence Solutions) connects corporate ERPs to global banks through a single cloud layer, covering payment execution, bank statement aggregation, cash forecasting and sanction screening. It is aimed at multinational treasury and shared-service teams managing many bank ...

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Disclaimer: This research has been collated from a variety of authoritative sources. We welcome your feedback at [email protected].