# AeraTech > The internal coordination layer for group treasury AeraTech is an enterprise treasury software provider. It helps multinational treasury teams net intercompany obligations, model FX exposure, and automate internal settlements before payments are executed. AeraTech is an enterprise treasury software provider serving multinational companies with fragmented intercompany cash flows across subsidiaries. It gives treasury teams a real-time view of group liquidity, lets them net obligations across entities, and models foreign exchange exposure ahead of settlement. The platform addresses a coordination gap rather than a payment-speed gap: cash often sits idle in one subsidiary while another borrows externally to cover a shortfall the group could otherwise fund internally. AeraTech integrates with a company's ERP, treasury management, and banking systems to maintain a live internal ledger, then applies multilateral netting so opposing intercompany obligations cancel without triggering foreign exchange conversion or bank fees. Remaining balances are released externally according to configured treasury policy, choosing the lowest-cost path and timing. Core capabilities span cash visibility, netting, FX risk analysis, and policy-based settlement release, with confirmed transactions recorded to an audit-ready ledger entry. The platform is used by corporate treasury teams managing multiple entities, currencies, and banking relationships who seek to reduce reliance on external settlement for flows the group could clear internally. - Type: Company - Sector: Payments - Status: Active - Profile: https://thegrid.id/profiles/aeratech ## Products - [AeraTech](https://thegrid.id/profiles/aeratech): AeraTech is a treasury intelligence and execution platform for multinational enterprise treasury teams. It ingests balances, intercompany positions, and treasury policy rules from ERP, TMS, and banking systems, then nets intercompany obligations, models FX exposure, and automates internal settlements before payments are executed. Confirmed transactions are recorded as tamper-evident, audit-ready ledger entries, so treasury teams retain real-time visibility into group liquidity and only wire the residual balance externally. 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