Brava Finance
Treasury Management SoftwareA non-custodial treasury management platform automates the allocation of idle cash into thousands of stablecoin and real-world asset lending markets, enabling treasuries, CFOs, and asset managers to optimize yields while maintaining custody control. Its main features include automated cross-chain execution, real-time risk scoring and performance visibility, dedicated client vaults and independent wallets, automated rebalancing, and audit-ready reporting, addressing fragmentation, manual error-prone processes, and custody constraints for professional investors seeking scalable, compliant, and transparent access to liquid credit markets.
Brava Finance can be found in Treasury Management Software categories.
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