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Accounts Reconciliation

is either a stand-alone product or an optional feature of FinTP and provides NOSTRO/VOSTRO automatic accounts reconciliation, intraday liquidity reports and integrated exception management, with exception memorizing to maximize automatic reconciliation.

  • Ledger vs. statement reconciliation (NOSTRO)
  • Payments vs. statement reconciliation (VOSTRO)
  • Automatic or user-driven reconciliation
  • Intraday liquidity reports
  • Investigation features
  • Rich set of reporting templates for a thorough operations control.