# Treasury Upvest supports settlement on a post-trade basis under certain operating models and licensing conditions, while clients manage cash locks independently of Upvest's order execution. To support our clients in settlement processing Upvest will provide a summary of client trading activity for a given day (settlement report) that can be downloaded via the `/files` API. Get a deep dive into: * [The different types of settlement reports](/products/omnibus/guides/treasury/settlement_reports) The settlement advice is a report that represents the net trading position at the end of the day and contains all transactions for which settlement must take place. As a general rule, Upvest will provide the settlement advice for each trading day. * [Get settlement reports](/products/omnibus/guides/treasury/retrieving_treasury_reports) Learn how to access the specific treasury reports. * [Get sample reports](/products/omnibus/guides/treasury/report_samples) Take a look at some examples of treasury reports. * [How order and post-trade processes work](/products/omnibus/guides/treasury/overview) Upvest supports settlement on a post-trade basis, while clients manage cash locks independently of Upvest's order execution.