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Hazina product demo.

Explore the treasury console and operator workflow.

Hazina product surface

Best for

Treasury teams, fintech operators, multi-entity businesses

Access

Guided walkthrough; partner environment for qualified teams

Operating surface

Console workflows and integration model available

Choose the delivery model for your rollout.

Comparable infrastructure buyers evaluate packaging first: managed access, embedded APIs, implementation scope, and the operating model. This is how Hazina fits your organization.

Hosted treasury console

Finance teams that need operational control without building an internal treasury dashboard.

  • Multi-entity account views
  • Approval policies
  • Reconciliation workspace

API plus console

Fintechs that want engineering APIs and an operator console over the same ledger events.

  • Payment initiation APIs
  • Role-based console
  • Webhook and export pipeline

Business banking layer

Platforms embedding treasury accounts, vendor payments, or payroll-like flows for customers.

  • KYB-ready account model
  • Vendor and payroll workflows
  • Partner rail configuration

Primary users

CFO teams, fintech operators, marketplace finance teams

Regions

Configured per licensed partner, banking rail, and corridor

Rails

Local accounts, mobile money, ACH, SEPA, wire/SWIFT partners

Integration surfaces

Treasury console, payment APIs, approval events, accounting exports

Hazina operating demo

The Hazina demo focuses on account structure, approvals, reconciliation, and finance-team controls for implementation scoping.

HA

Multi-entity cash position

Entities
04
Currencies
12
Open items
07

Finance teams see liquidity, currency exposure, and account ownership in one operating view.

Operating account$482,900
Payroll reserve$86,300
FX exposureWithin policy

Operator actions

Move funds
Create policy
Export

Partner environment by qualification

The demo is only useful if the control model is clear.

Product access is controlled because rails, regions, identity, asset-operation, and compliance dependencies shape each operating environment.

01

KYB and roles

Entity onboarding, operator roles, approval limits, and maker-checker duties are mapped into the access model.

02

Payment controls

Vendor, payroll, FX, and batch payments are designed around configurable approval policies.

03

Reconciliation

Bank, payment, ledger, and accounting events are matched continuously with exception queues.

04

Audit evidence

Export packs, approval history, policy changes, and settlement evidence are included in the operating model.

  • Banking availability depends on entity location, partner approval, and compliance review.
  • Treasury environments require named administrators, role model, and payment approval matrix.
  • Accounting and ERP integrations are scoped by connector availability and data mapping.

What the demo covers.

The public demo covers the standard operating path. The guided walkthrough mapsHazina to your operating model, rails, compliance needs, and rollout plan.

01

Treasury setup

Entities, accounts, currencies, roles, approval policies, and controls.

02

Operate payments

Vendor payments, payroll, FX routing, and exception handling across rails.

03

Close the books

Event reconciliation, statement exports, audit packages, and API handoff.

Submit a structured request and we will reply with the right access path: walkthrough, technical review, partner scoping, or implementation planning.

Request Hazina demo