Treasury software optimized
for your fund structure
Simplify your treasury functions with a single source of truth
Organize by asset
Assign accounts to specific investments, funds, or entities and benefit from a centralized system of record for your treasury operations
Label by account type
Easily specify account types with customizable labels to differentiate between operating, custodial, and escrow accounts
Handle complexity
Simultaneously work between different entities, banks and accounts within the platform — Arpari handles the complexity of hundreds of accounts with ease
Third-party access
Grant or receive read-only access to fund administrators, outsourced accounting advisors, or operating partners
Understand in real-time
API-based connectivity provides real-time data feeds, giving you up-to-date information at all times
Analyze transactions
Enhance transactions with specific metadata, enabling you to drill-down into transactions with the detail you need
Save hours per week
Move away from time-consuming and mistake-prone spreadsheets
Easy aggregation
Consolidate your banking data across all your banks into a centralized repository, enabling you to streamline your treasury processes
Collaborate effectively
Empower your finance team to manage treasury operations with greater efficiency and reduce time spent on manual tasks
Simplifying complexity
Arpari is the treasury solution optimized for complex account structures
For real estate
Built for the complex account structures of real estate owners, managers, and developers
For asset managers
Designed with the flexibility to handle hundreds of fund entities simultaneously
For leisure & hospitality
Optimized to simplify treasury operations for multi-location businesses
For professional services
Secure read-only access to your client's banking information, streamlining your processes