THE PAST AND FUTURE OF YOUR BUSINESS UNDER CONTROL
Automated treasury software
Automation of your company's treasury through the reconciliation of bank movements in real time.
Performs data-driven financial forecasting.
Forget Excel!

Customers who love us
José Ángel Arroyo
@CEOCreatit

Júlia Ferrer
@CEOSunSmith

Do you have your treasury under control?
Start using Orama in 4 easy steps
Cash flow statement
Do you control your expenses without errors?
In a matter of two minutes, Orama organizes your cash flow chart based on your income and expense history. That way you will be able to know the direction in which. your company is automatically managed.
No errors
Saves time


Runway
How many months of life does your business have left?
You shouldn't have to be a financial guru to be able to control your company's cash flow. Orama gives you clear and visual information about what is happening in your business, and a future forecast updated in real time.
Future financial scenarios
Can your business withstand that decision?
Easily create future scenarios to visualize the impact of multiple decisions on your company's future cash flow. Check your ideas against data to make the right decisions.


Financial forecasts
Do you have unpaid bills?
Create your financial forecasts automatically and you will be able to anticipate possible defaults that your company may suffer. You will always be prepared for what's ahead. No more surprises.
Treasury management made easy with Orama
Bank reconciliation
Cash flow statement
Forecasts
Create scenarios
Orama 15-day trial with no obligation
Save time and errors!

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