Gradient

Welcome to BondPay

Strengthen working capital, secure liquidity and mitigate any potential future risks.

BondPay Logo

Treasury Management

Treasury management is the managing a company's daily cash flows and larger-scale decisions when it comes to finances. It can help provide governance over a company's liquidity, establish and maintain credit lines, optimise investment returns, and strategize the best use of funds.

Liquidity Governance

Liquidity Governance

Cash flow management is the process of managing a company's cash flows.

Strategize

Strategize

Credit management is the process of managing a company's credit lines.

Treasury
Liquidity

Our Priority

BondPay's priority is to ensure the business has the money it needs to manage its day-to-day business obligations, while also helping develop its long term financial strategy and policies.

Business Obligations

Business Obligations

We help ensure that you have the funds readily available to meet your businesses need.

Financial Strategy & Policies

Financial strategy & Policies

We help your company develop its long term financial strategy.

Risk Mitigation

BondPay helps clients choose the right Treasury Management System needed to control the movement of funds. Typically, risks can present as financial, reputational, and operational.

Mitigate

Mitigate Risks

We use treasury management to mitigate potential future risks.

Potential

Potential Future Risks

Using the right TMS tools will help reduce fund flow risks.

Treasury
Capitalise

Capitalise on Market Trends

BondPay helps you move away from the burden of day-to-day operations and manual processes towards a more strategic and open approach. An approach that delivers reliable forecasting and helps you capitalise on market trends.

Strategic

Strategic & Open Approach

We help you future-proof the way you manage your finances.

Reliable

Reliable Forecasting

Our approach can deliver reliable forecasting.

Our Services

Learn all about our different services.

Liquidity & Governance

Liquidity & Governance

Gain control with guidance over your company's liquidity.

Business Obligations

Business Obligations

We make sure your company has the money it needs to manage its day-to-day business obligations.

Financial Strategy & Policies

Financial Strategy & Policies

We help your company develop its long term financial strategy.

Mitigate Risks

Mitigate Risks

We use treasury management to mitigate potential future risks.

Strategic & Open Approach

Strategic & Open Approach

We help you move towards a more strategic & open approach.

Reliable Forecasting

Reliable Forecasting

Our approach can deliver reliable forecasting.