Our skills
About Us

We integrate in-depth know-how gained in the banking and financial sector with extensive expertise in IT and technology.

Who we serve

For over 20 years we have supported the work of CFOs, Financial Directors, Controllers, Credit Managers and Treasury Managers.

Our mission

We provide all the knowledge and technological tools so that companies can always count on timely information and real-time data on financial flows.

What we do

We support financial managers in the process of optimising the reconciliation of all types of receipts and payments, an essential advantage to allow cash value management and to develop financial planning that is based on reliable and always up-to-date data.

Download company profile

SUPPORT CFOs, TREASURERS and CREDIT MANAGERS
Our Mission

In dynamic and volatile contexts, making decisions based on high quality, correct and up-to-date information is essential to support companies’ competitiveness.

Specifically, those who deal with the governance of financial aspects know well that the real-time availability of a wealth of qualified data is crucial for:

Defining effective strategies to boost competitiveness

Reducing financial risks

Streamlining and speeding up management processes

Providing real and up-to-date reports to Management

This is our role: to accompany financial teams in managing data and flows effectively and promptly, transforming them into an asset to advance the organisation’s performance.

BICTA
Our solution

BICTA is the solution that brings together all the expertise we have acquired over the years. It is a modular software platform that automatically reconciles all collections and payments, providing the company with a correct and real-time view of the financial situation.

The use of BICTA allows you to:

  • Implement effective financial planning strategies based on real and up-to-date data
  • Intervene promptly with recovery actions of outstanding debts
  • Reduce errors and manage the treasury according to the actual financial picture
  • Automatically create a dialogue between corporate accounting and the reference banks
  • Integrate and sync payout streams across all third-party payment apps
  • Compile reports that are always correct and up-to-date