Pricing – Caspira
Most popular
Plans tailored to your needs
Optimize your cash processes with flexible options
Starter Plan
- Real-time cash positioning
- Automated bank reconciliation
- Secure data encryption
- Daily operational reporting
- Email support
Professional Plan
- Multi-currency handling
- Forecasting tools
- API integration
- Dedicated account manager
- Priority support
Enterprise Plan
- Custom workflow automation
- Advanced analytics dashboard
- Premium security compliance
- On-site training session
- 24/7 technical support
Comprehensive Cash Forecasting
Predict and allocate funds with confidence
Why Caspira Stands Out
At Caspira, our treasury management solution is designed to bring precision and visibility to every facet of your cash operations. Through intuitive dashboards, you can consolidate data from multiple banking partners, track payment schedules, and automate reconciliations with sophisticated rules. Swiss-grade encryption and role-based access ensure that your information remains safeguarded while providing customizable controls for your team. Continuous enhancements based on user feedback and market compliance practices in 2025 empower you to minimize manual errors, accelerate settlement processes, and coordinate cross-border transactions seamlessly. With Caspira, corporate value professionals can maintain robust oversight, respond swiftly to shifting payment demands, and align funding availability with operational requirements, all within a single unified platform hosted in Switzerland.
Experience a streamlined treasury solution backed by Swiss data security standards, seamless integration, and dedicated support
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