Industry-led Treasury Solutions
One treasury discipline.
Six distinct business realities.
We adapt capital deployment, liquidity, risk, banking, and treasury technology strategies to the operating realities of your industry.
Sector-aware
Liquidity-led
Risk disciplined
Decision ready
Where We Add Value
Different sectors. Different pressures.
One stronger treasury function.
Every industry carries its own cash cycles, capital demands, compliance requirements, and exposure. RM Fincorp combines a consistent treasury framework with strategies shaped around those sector-specific realities.
01
Manufacturing
02
Retail &
E-commerce
03
Healthcare
04
IT & Technology
05
Energy & Utilities
06
Banking &
Financial Services

Industrial Economy / 01
Capital-intensive operations need capital that moves with purpose.
We help operationally complex businesses balance daily liquidity, major capital commitments, and long-term resilience.
Manufacturing
Improve visibility across inventory, procurement, receivables, and capital expenditure.
Working-capital optimization
Cash forecasting across entities
Supplier and banking efficiency
Energy & Utilities
Strengthen liquidity planning for long investment cycles, volatile markets, and infrastructure commitments.
Long-range liquidity planning
Rate and currency risk oversight
Capital allocation discipline
Digital Commerce / 02
Fast-moving businesses need real-time financial control.
We bring structure to high transaction volumes, fluctuating demand, global collections, and rapidly changing growth priorities.
Retail & E-commerce
Turn fragmented settlements and seasonal cash movement into a clearer, more responsive liquidity position.
Seasonal cash forecasting
Settlement & reconciliation control
Inventory-linked liquidity planning
IT & Technology
Support rapid scaling with stronger cash visibility, cross-border control, and decision-ready reporting.
Multi-currency cash positioning
Runway and reserve optimization
ERP and treasury integration


Regulated Capital / 03
Trust-led sectors need transparency at every decision point.
We combine disciplined governance with active capital management, protecting resilience while keeping funds productive.
Banking & Financial Services
Strengthen liquidity, interest-rate awareness, reporting, & financial-partner management within a controlled framework.
Liquidity portfolio oversight
Interest-rate risk discipline
Compliance-led reporting
Healthcare
Align reserves, operational cash needs, supplier cycles, and strategic investment with dependable oversight.
Protected liquidity buffers
Capex and supplier planning
Transparent governance
One coordinated mandate
Our approach adapts to your industry - not the other way around.
The solution starts with how your business actually operates, then connects the treasury capabilities needed to improve control and performance.
01
Map the operating cycle
02
Identify exposures
03
Design the mandate
04
Optimize continuously
Start A Conversation
Build a treasury function that works harder.
Tell us where your current challenges lie. We’ll identify the right combination of services for your organization.