CapiNexo analyzes your data streams in real time to optimize excess cash, reducing risk through AI models designed for strategic financial decision-making.
Request technical demoMaintaining idle capital or making decisions based on static reports limits growth. In today's volatile environment, the ability to process large volumes of financial information in milliseconds is the difference between capital preservation and expansion. For the SME owner, this translates into a concrete question: how much of your available cash could be working instead of waiting in a low-performing account?
Each component of CapiNexo is designed to reduce the operational burden of financial analysis, without replacing the judgment of the decision maker.
Integration of cash flows and macroeconomic variables to identify available surpluses and placement windows with lower exposure to risk.
Models that automatically adjust to market volatility, recalculating exposure limits as financial conditions change.
Total transparency on the behavior of your assets and optimization recommendations, delivered every day in a clear and searchable format.
The system operates in three sequential stages, each verifiable by your financial team.
Secure connection with your ERP systems and financial accounts, without the need for manual capture or intermediate reports.
Our AI identifies inefficiency patterns and placement opportunities based on the historical and current behavior of your treasury.
Delivery of validated strategies for liquidity optimization, ready for review and approval before any movement.
Unlike traditional models, CapiNexo offers complete traceability. Each AI recommendation includes the logical reasoning and confidence level of the model, allowing the human decision-maker to maintain full control over each movement of their capital.
This means you don't receive blind instruction: you receive the data, context and margin of certainty behind each suggestion, updated every day.
Join the Mexican companies that already use data intelligence to optimize their treasury, with daily reports that support each decision.
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