Cash Management Advisory

Take Control of Bank Fees & Services and Cash Returns

Redbridge benchmarks your bank fees & services as well as cash returns against proprietary market data built from thousands of real banking relationships, then negotiates on your behalf to realize the savings. This includes Cash Management fees & services, foreign exchange costs, and earnings credits & yield.

Trusted By 600+ Companies Worldwide

Led by Experts

Clarity Made Possible by Cash Management Experts

Bank statements arrive in different formats and inconsistent terminology, and fees tend to drift upward over time. With decades of treasury experience and proprietary benchmarks, Redbridge takes that complexity off your hands and gives you a clear view of what your banks are charging you and what every balance earns. Your team spends less time reconciling statements and more time making decisions.

Alex
Constance
Amanda
Sara

Without Redbridge


Bank fees buried in confusing statements, drifting upward until demanding review

Below-market rates on cash that no one has challenged in years

FX margins hidden inside spreads, with no benchmark to test them against

Billing errors going undetected month after month without ongoing review

With Redbridge


Every fee & service mapped and benchmarked against real peer data
Yield on deposits reviewed against the market and renegotiated on your behalf

FX costs measured against proprietary benchmarks that expose hidden margins

Continuous monitoring that catches billing errors and protects your savings

Powered by Data

Powered by the Industry’s Deepest Benchmarks

Redbridge aggregates data across banks, translating different provider “languages” into one clear standard. With proprietary benchmarks, we deliver true apples-to-apples comparisons that reveal hidden costs and provide transparent insight into your bank relationships.

Redbridge CMA core

Comprehensive Solutions

Cash Management Solutions That Turn Expertise and Data Into Action

2018 Rate Chart

Bank Fee & Service Optimization

Optimize Bank Fees & Services While Improving Your Banking Relationship

Redbridge audits, benchmarks, and negotiates bank fees & services for corporate treasury teams with a level of data and market awareness that most internal teams do not have access to.

2018 Rate Chart

Yield on Balances

Your Cash is Sitting There, So Make it Work Harder

Most treasury teams haven’t challenged their deposit interest rates in years. The gap between what your cash earns and what it should earn is real — and measurable. Redbridge audits your yield structure, benchmarks it against the market, and arms you for the conversation with your banks to optimize your cash’s earnings power.

2018 Rate Chart

Foreign Exchange Costs

Reduce & Optimize FX Costs Without Changing How You Trade

Redbridge helps you uncover hidden margins, benchmark your rates, and renegotiate smarter pricing with your existing providers. No platform change. No disruption. Just better economics.

2018 Rate Chart

Bank Fee Analysis Software

Stop Accepting Bank Statements As-Is and Start Analyzing Them

HawkeyeBSB brings together statements from all of your banks into one clean, consistent view of what you are truly paying, built by treasury professionals who have spent more than 20 years solving this exact challenge.

Case Studies

Real Treasury Teams, Unreal Results

Whether you’re supporting a small team or managing complex cross-functional projects, Redbridge helps Treasurers, CFOs, and Finance Leaders of all types deliver consistently.

Company logo

“Redbridge’s tools and expertise helped us better understand the individual services we were using and rationalize each bank account resulting in significant savings for AT&T.”

Stacy Roth
AVP – Treasury Services

Company logo

“The engagement with Redbridge helped us optimize our cash management fees and generate significant value for our treasury function. The project revitalized our key banking relationships.”

Gerard Tuinenburg
Director of Treasury Operations

Company logo

“Overall, it’s been a successful partnership over the last two to three years. We’ve made a lot of connections through Redbridge, it’s not just a one-time engagement, it’s an ongoing working relationship.”

Brad Costantino
Treasury Operations Manager

Company logo

“Redbridge allowed us to optimize our banking services and align our terms with competitive market standards. Their strategic negotiation and data-driven approach delivered measurable results and lasting value.”

Mathieu Brunet, CPA
VP, Investor Relations & Treasury

Resources

Featured Cash Management Advisory Resources

Latest Articles


Latest Case Studies


Latest Videos

FAQS

Frequently Asked Questions About Cash Management Advisory

This section answers the most common questions the Redbridge team hears about Cash Management Advisory. Click on any question below to read the full response.

What services does the Cash Management Advisory team provide?
The Cash Management Advisory team is 100% dedicated to negotiating and monitoring bank fees and services on behalf of our clients, covering cash management fees & services, FX margins, and earning credits & yield. The team also provides HawkeyeBSB, the market’s most advanced bank fee monitoring software.
What is the impact on my banking relationship?
Redbridge prepares and leads structured, data-backed discussions with your banks, with the goal of putting formal pricing agreements in place that work for both parties. An approach most banks respond to productively.
How much time will my team need to invest?
Minimal. One month of Account Analysis Statements (AAS) is typically all Redbridge needs to get started. Additional months may be requested for highly seasonal businesses.
How does Redbridge get paid?
Redbridge operates on a success fee model: we are only remunerated when we deliver actual savings and measurable improvements.
What is the difference between HawkeyeBSB and a TMS?
While a treasury management system handles transactions and cash positioning, HawkeyeBSB is purpose-built for bank fee analysis. It provides a structured billing validation mechanism, one your banks would otherwise circumvent, enabling your team to review invoiced amounts and verify accuracy through pricing violation identification.

Optimize Your Bank Fees & Services and Cash Returns

Reduce costs and increase transparency with expert cash management advisory.

Subscribe