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FIS Integrity API and ATS Interface Development: Automate Your Treasury Data Flow

Maximize the power of your FIS Integrity Treasury Management System with custom interface development that connects your

treasury, ERP, and reporting environments seamlessly.


Build your own data import and export interfaces to automate every step — from bank statement

imports to ERP GL journal exports — ensuring your treasury data is always accurate, timely,

and integrated.

Automate Data Integration with FIS Integrity

With custom-built interfaces, you can easily:

✅ Import cash positions, FX deals, and forecasts directly into FIS Integrity.

✅ Export accounting entries, payments, and positions to ERP systems like SAP, Oracle, SAP, Yardi or Microsoft Dynamics.

✅ Synchronize data between internal modules such as Cash Management, Debt, and Forecasting.

This automation eliminates manual uploads, reduces errors, and delivers real-time visibility across all treasury processes.

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FIS Integrity interface development that transforms data movement into automation, accuracy, and insight.

Benefits of Custom FIS Integrity Interfaces

✅ Full control and flexibility: Adapt to any file format (CSV, XML, API, flat file).

✅ Faster implementation: Avoid vendor delays and deploy integrations on your timeline.

✅ Scalable architecture: Expand data connections as your organization grows.

✅ Optimized workflows: Enable straight-through processing across systems.

Unlock the full potential of FIS Integrity by developing tailored data interfaces that move information seamlessly between your treasury, ERP, and business intelligence tools.


Automate smarter. Integrate faster. Control your treasury data.​​

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Request a demo about what is possible..

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