SMBC Group

Cash
Management

In a world of constant change, a stable and trusted partner makes the difference. With a long history of supporting customers and a modern global banking platform, We helps organizations collect, view, automate and control cash flows securely and efficiently — enabling better liquidity management and more confident decision-making.
The service will be available in the U.S. in June 2026. Subsequent releases are planned for Europe and Asia.
Details on upcoming releases will be shared on this site, so please stay tuned.

Tailored solutions for complex treasury needs

Treasury requirements vary across industries, operating models and geographies. Our transaction banking team works closely with you to design solutions aligned with your priorities — from day-to-day payments to liquidity optimization. Supported by experienced specialists and a global network, we deliver solutions tailored to your business and the markets you operate in.

Digital experience and connectivity — designed for how you run treasury

Designed to simplify treasury operations, SMBC Connect offers a more intuitive interface and streamlined navigation, improving visibility and control across key activities.
In its current rollout, the platform enables:

Initiation and approval of U.S. domestic wire payments
Time deposit booking and rollover workflows through a clearer, more accessible digital experience

A partner in your treasury transformation

Our team works with you to identify priorities, tailor solutions and support implementation. Whether you are modernizing payment operations, improving controls or optimizing liquidity, SMBC brings a customer-first approach and dedicated support to help you navigate treasury with confidence at scale.

Additional capabilities will be introduced through phased releases as the platform continues to evolve.