Account Infrastructure

Accounts that match how your money moves

Clear Junction gives financial institutions the account structures they need to collect, hold, move and reconcile funds across currencies, corridors and customer flows.

Choose the right model for each use case, from correspondent accounts for client payment flows, to collection accounts for high-volume inflows, to corporate accounts for operational funds and treasury control.

Structure funds with purpose

Separate client flows, business activity, regional entities or books of business with account models designed around real operations.

Connect payments to reconciliation

Use named accounts, virtual IBANs, API data and dashboard visibility to track funds clearly from receipt to settlement.

Keep treasury close to the flow

View balances, manage liquidity, move funds internally and apply limits across accounts, currencies and settlement structures.

Corporate Accounts

For operational payments and treasury management under a regulated EMI structure.

Features

Named multicurrency accounts – GBP, EUR and USDC/T
Role-based access and approval workflows
Integration with treasury and accounting systems
Secure, compliant management of business funds
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