Brande Troquésane — financial data table analyzed by an artificial intelligence engine
Data analysis · Decision support

Make your excess cash productive, in a pragmatic and quantified way

Brande Troquésane analyzes your cash flow and market signals in real time, then suggests allocations based on back-tested strategies, to reduce risk before making any recommendations.

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From market noise to allocation decisions

An SME generates cash flow, collection and invoicing data every day. Taken in isolation, this data does not say anything usable. The Brande Troquésane engine cross-references them with continuous market indicators, to transform a raw flow of signals into concrete allocation options.

  • 01Aggregation of cash flows and relevant market variables, continuously updated.
  • 02Statistical filtering to isolate significant signals from short-term volatility.
  • 03Translation into allocation recommendations classified by risk level.
72h

Average time between detection of an actionable market signal and its translation into a documented allocation recommendation.

A linear processing chain, verifiable at each step

Each recommendation goes through four distinct stages. None are short-circuited, including seemingly simple decisions.

01

Collection

Aggregation of internal treasury data and external market series, with consistency check on entry.

02

Analysis

Predictive modeling applied to historical correlations between available liquidity and eligible asset classes.

03

Backtest

Simulation of the strategy over distinct historical periods, with explicit risk arbitrage between return and exposure.

04

Recommendation

Restitution of a reasoned allocation, accompanied by its horizon and its estimated level of risk.

Three concrete situations for an SME manager

Cash

Optimization of dormant cash flow

Cash left in a checking account loses real value with inflation. The engine identifies the share of cash that can be mobilized without compromising working capital.

Risk

Risk coverage

Without dedicated financial management, balancing exposure and prudence is difficult. The recommendations include a risk ceiling defined upstream, never exceeded without validation.

Growth

Growth capital allocation

Distinguishing capital intended for investment from that necessary for current operations makes it possible to engage in measured growth, without weakening operational cash flow.

Data reading designed for decision-making, not for demonstration

Brande Troquésane does not seek to produce impressive dashboards. The objective remains the clarity of an allocation decision, formulated in terms that can be validated by a manager without extensive financial training.

Each recommendation is accompanied by the back-testing history that justifies it, which can be consulted before any validation.

Brande Troquésane — financial analyst examining market data on multiple screens

The model calculates probabilities, it does not predict the future

The past performance of an asset class does not guarantee anything for the coming period. What the Brande Troquésane engine produces is a probability estimate based on historically comparable market patterns to the current situation.

This distinction conditions the way in which the recommendations must be read: as decision support based on observed patterns, not as a certainty of performance.

  • Multi-Period BacktestEach strategy is tested over several distinct market cycles before being offered.
  • Risk capNo recommendation exceeds the risk threshold defined by the client.
  • Traceability of hypothesesThe parameters that led to a recommendation can still be consulted a posteriori.

Security, integration and liquidity

How is my treasury data protected?

The data passes encrypted and is processed in a dedicated environment, separate from the demonstration environments. No financial data is shared with third parties without your explicit consent.

Is the integration with our accounting tools complex?

The connection relies on your company's existing accounting exports. No overhaul of your information system is necessary to begin an evaluation.

Do my cash remain available when needed?

The recommendations systematically distinguish the cash available for use from that necessary for current operations. The required level of liquidity is defined with you before any allocation.

Take back control of the trajectory of your cash flow

A demonstration allows you to examine, on your own aggregated data, how the engine would have handled your situation in recent cycles. No commitment is required at this stage.