Currency exchange and settlement liquidity for cross-currency operations across African and global markets.
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Conversion happens as part of pay-ins, payouts, allocation, and treasury activity. Not as standalone trading.
Each account type has defined behavior. Avoid accidental liquidity issues.
Instant Conversion
Convert supported currencies when you need to complete a transfer, prepare a payout, or allocate funds internally.
Locked rate conversions
Lock a conversion outcome for a defined window to support planned payout, supplier payments, or scheduled settlement
Liquidity-backed settlement
Access liquidity at the point of settlement so cross-currency flows can complete without pre-funding every currency in advance.
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Conversion happens as part of pay-ins, payouts, allocation, and treasury activity. Not as standalone trading.
FX & Liquidity is commonly used for:
Convert funds into operating balances
Settlement in recipient's local currency
Rebalance across currencies based on usage
Convert before disbursement to avoid delays
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FX availability varies by currency pair and corridor. Gravv supports major and regional currencies, aligned to where money actually moves.
FX and settlement liquidity support the flow end-to-end, rather than forcing teams to stitch together separate systems
Liquidity is accessed when needed, reducing the need to keep permanent balances in every currency.
Exchange behavior remains stable across normal, repeat usage, not one-off conversions
FX is available where money moves, not isolated in a separate tool
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FX actions are available through the same integration surface as the rest of Gravv.
Straight answers to what matters before you integrate.
It’s currency exchange and settlement liquidity used to support collections, transfers, and treasury flows. It is intended for operational money movement, not trading.
Supported currency pairs and corridors are listed in documentation and can be confirmed during onboarding based on your use case.
Liquidity availability depends on the corridor, currency pair, and use case. Supported routes and behaviors are defined during onboarding and documented for clarity.
Access real-time FX and settlement liquidity that fits directly into your collections, transfers, and treasury flows.