Pevino Galela moves your company's idle liquidity into a systematic investment system. A predictive analytics engine identifies favorable entry points and makes regular, risk-adjusted contributions, without you having to monitor the markets daily.
Optimize My TreasuryA significant portion of SME treasury capital remains in low-yield accounts while deciding when and how to invest it. That margin of indecision has a measurable cost.
Pevino Galela It lies between available liquidity and market execution. The platform does not require the management team to become financial analysts: they define the risk profile and the system executes.
The objective is not to maximize risk exposure, but to reduce the gap between having capital and putting it to work in a disciplined manner, with staggered entries and quantitative criteria.
The system combines predictive analysis and periodic automated contributions to reduce the impact of specific decisions on the entire investment.
Models trained on historical series and real-time market data identify areas of relative oversold, serving as a reference for the moment of each contribution.
Contributions are divided into intervals defined by the user. The system adjusts the size of each input based on the model signal, without manual intervention once configured.
By distributing capital over time instead of concentrating it at a single moment, exposure to specific peaks in market volatility is reduced.
The integration process is designed for a manager with limited time, without the need for prior technical knowledge in markets.
The treasury account is linked using a read-only encrypted connection to determine the capital available to invest.
The risk profile, time horizon and maximum exposure limits per contribution are established.
The system begins to execute contributions according to the model signal, within the configured limits, without requiring daily supervision.
Just because execution is automatic does not mean that control disappears. All activity is documented and available for review.
Panel with current position, contributions made and deviation from the defined plan, updated continuously.
Simulations of results under different market assumptions before modifying the active risk parameters.
Exportable record of each operation, with date, amount and entry criteria applied, useful for internal audit.
Pevino Galela is a data analysis and decision optimization platform aimed at companies and investor profiles that manage their own capital. The focus is not on predicting with absolute certainty, but on applying consistent quantitative criteria to a process that would otherwise depend on repeated manual judgment.
The team behind the product works on predictive models and risk management applied to financial data, with the aim of technology reducing the operational burden of decision-making, not replacing the strategic criteria of the business.
Straightforward answers to the technical questions CFOs often ask before connecting an account.
The connection with the financial institution is made through read-only access and encryption in transit and at rest. Pevino Galela does not store banking credentials directly; Authentication is delegated to the certified connection provider.
The managed capital maintains the liquidity of the asset in which it is invested. Withdrawal orders are processed according to the settlement times of the relevant market, not instantly.
The model weights historical volatility, momentum and volume variables to estimate the probability that the current price is in a favorable entry zone. Each contribution made includes the criterion that originated it, visible in the activity report.
User-defined maximum exposure limits act as an automatic brake: no individual contribution can exceed the configured percentage of the total allocated capital, regardless of the model signal.