Accounting change
Automating data collection for leases or revenue transactions
Automated check& reconciliation of intercompany balances.
Intercompany Reporting Read More »
Automating various operational tasks in finance.
Operational finance and accounting Read More »
Automate download of statements and reconciliation of balances.
Account and Bank reconciliations Read More »
Extract customer data from documents, validate and create new accounts.
Bank Account Opening Read More »
Manage reversal of charges levied on the customer.
Reversal Of Charges Read More »
Manage the foreign bank transaction charges for different currencies.
Manage transaction charges Read More »
Automatically validate the loan foreclosure requests.
Loan Foreclosure Maintenance Read More »
Collate large-sized records received from various channels.
Loan Reconciliation Read More »