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Best-in-Class Solutions for Financial Transactions

As a completely integrated end-to-end solution, GTSuite represents much more than the sum of its individual parts. The flexible architecture provides seamless and customisable solutions to streamline, automate and manage processes involving payments, compliance, global cash management, reconciliation, access to financial networks and data management.

GTSuite is available as a licensed application or provided as a hosted service via GTCloud.

An Integrated End-to-End Portfolio Suite

GTData

Bottomline GTData is a multi-provider data management platform, enabling comprehensive market data selection and acquisition for valuation pricing, corporate actions processing, automated opening of values and securities master file maintenance. The Bottomline GTData intelligence engine integrates every type of market data, including internal sources, to provide the highest levels of efficiency to your organisation.

GTExchange

Bottomline GTExchange allows financial institutions to have a single window overview of high-volume and complex message flows from multiple counterparties over multiple networks and protocols. This premium solution harmonises a disparate matrix of formats and protocols, ensuring complete interoperability between legacy, domestic and XML messaging standards.

GTFrame

GTFrame is the ideal tool to ensure complete interoperability between legacy, proprietary, national, SEPA, DTCC and XML messaging standards. It provides an efficient rule-based mapping tool between any format, supporting all financial libraries such as SWIFT FIN, all ISO 20022 (e.g. Payments, Funds, Exceptions and Investigations, Cash Reporting), FIX, SAP-IDoc, SIC, Secom, FpML, BACS, SARIE, Edifact, DTCC, any XML and many others.

GTMatch

GTMatch is a SWIFT-certified application for reconciliation delivering real-time and enterprise-wide reconciliation for all business lines and market instruments including, cash, general ledger, bank accounts, securities transactions, custodians holdings, funds, treasury, foreign exchange, money markets, precious metals and generic reconciliation.

GTMatch Corporate

GTMatch Corporate enables automated reconciliation of receipts and statements, leaving only new exceptions to be manually matched. It removes the repetitive manual process of physically matching individual items against a bank statement before uploading into an accounts system. GTMatch Corporate works together with your existing systems to provide a consolidated view across all business units.

FEATURES

Built for Your Needs

Expands as Your Requirements Grow

A completely flexible deployment and usage model.

Modular Access

Take advantage of the full range of market-leading services for financial transactions.

Fully Interoperable

Works in harmony with back-office systems and third-part solutions.

Extensible Architecture

Handle ultra-high volume operational demands with ease.

Multi-Network Access

From real-time reconciliation, routing and liquidity management to market data management and sanction screening.

Cost-Efficient, Best-in-Class Service

Retain investment in existing systems and streamline the complexities of multiple vendor integrations.

More Solutions from Bottomline

Payments Automation

Eliminate fragmented payment processes, centralize business payments, and speed up invoice and payments processing while reducing fraud risk.

Payments Connectivity & Compliance

Securely communicate financial transactions within and between businesses, globally and locally, while easily managing payment compliance and mitigating risk.

Cash Management

Automate and manage complex manual processes to optimize payments and grow through industry leading-visibility, forecasting, and reconciliation.