Connect the workflow.
Connect the stated position to the supporting records so a recipient can check how it was derived.
A Frame workflow
Explain the stated position with a checkable record, rather than asking the recipient to accept a dashboard total.
The customer problem
The group can state a position, but the recipient needs evidence of how it relates to the cash and recorded obligations on the group’s own books.
For corporates & treasury →Entity A pays Entity B
Your systems execute the settlementConnect the stated position to the supporting records so a recipient can check how it was derived.
Define entities, accounts, balances, time window and source records; supply the cash evidence and retain the bank relationships, books and keys.
The opening position, relevant movements and resulting position within the agreed reporting window.
Make the next move
Bring us the systems you use and the change you want to make. We’ll map where Frame fits and what a useful first demonstration should show.