Built to put business cash to work, without hidden costs
Resgatura was founded on a simple idea: companies shouldn't have to choose between liquidity and returns, or pay opaque fees to access either.
From a shared frustration to a clearer approach
Resgatura started with a straightforward observation: treasury and finance teams were spending too much time comparing rate sheets, negotiating terms, and untangling fee structures just to keep idle cash productive. We set out to build a more direct path — one where allocation decisions are handled by a disciplined, rules-based engine and pricing stays transparent from the first conversation.
That founding premise still shapes every decision we make today: fewer manual steps, fewer surprises, and a model built around alignment with the businesses we serve rather than around extracting fees from them.
Make idle cash productive, without adding operational burden
We aim to give businesses a straightforward way to allocate reserve cash using an automated, data-driven approach — so finance teams can focus on running the business instead of managing a patchwork of manual placements and fee negotiations.
What guides how we build and operate
Transparency by default
We believe pricing and process should be easy to understand before a client ever commits. No fine print designed to obscure how allocation decisions or costs actually work.
Discipline over guesswork
Allocation decisions follow consistent, rules-based logic rather than ad hoc judgment calls, so outcomes stay predictable and explainable.
Alignment with clients
Our model is built to succeed alongside the businesses we work with, not at their expense — that principle informs our fee structure and our roadmap alike.
A focused group of builders and finance practitioners
Resgatura is built by a small, dedicated team combining backgrounds in financial technology, quantitative analysis, and product engineering. We stay intentionally lean so decisions move quickly and every part of the platform reflects direct accountability to our clients.
Product & Engineering
Designs and maintains the allocation engine, security infrastructure, and the tools clients use to monitor their reserves.
Risk & Strategy
Defines the rules and guardrails that govern how capital is allocated, with an emphasis on consistency and capital preservation.
Client Operations
Supports onboarding and day-to-day questions, acting as the direct line between clients and the rest of the team.
Want to know more about how we work?
Reach out and we'll walk you through our approach in detail.
Contact us