Nostro Reconciliation Systems

Software and solutions dealing with Nostro/Vostro account reconciliation and management.

Company: AutoRek
AutoRek is a powerful, automated reconciliations solution which comes complete with advanced matching capability, workflow to route corrective action requests and queries, case management and management information. AutoRek is used extensively for intercompany reconciliations, line of business to general ledger, suspense account management, bank, settlement, custody and client money. Working ...
The UnaVista Reconciliation solution offers organisations a flexible approach to their organisations matching needs. Combining a hosted approach with fast a implementation time, UnaVista unites a range of functionality, including intuitive matching and workflow capabilities. UnaVista is uniquely positioned to perform a range of reconciliation's from straightforward Cash and Stock position ...
Company: Finastra
CreditPath™ Small Business is our small business lending platform. It’s designed for high-volume, multi-party and multi-product loans requiring automated decisions or recommendations, sophisticated calculations, credit data access, and application scoring for real-time business decisions.
ETHIX-Trade Module manages trade-related instrument processing, connects your bank to the SWIFT and networks, and provides a link between your bank and its clients. ETHIX-Trade is a Windows-based trade nance software that automates all trade nance transactions to enable easy, fast and secure data input and output generation. Designed to endure the test of customer demands and bank ...
FOR CASH & LIQUIDITY MANAGEMENT POSITION FORECASTING Real-time intra-day cash positions on actual and projected balances for internal and external cash accounts. Informed, effective and accurate funding decisions from real-time visibility of unsettled transactions. MATCHING ENGINE Provides cash flow matching (MT900/910) to project actual balances and bank statement ...
A highly scalable and configurable solution, Broadridge Reconciliation automates the entire reconciliation process to monitor, validate, enrich and match transaction data from the earliest point in the trade cycle through to final settlement, for any type of financial instrument across all internal systems and external agents. Information is delivered on customised dashboards in a single, ...
As cash management moves to an intra-day process, banks and corporates need real-time information to identify long and short positions. SmartStream’s TLM Cash & Liquidity Management provides a real-time view of cash positions to support better liquidity and risk management. TLM Cash & Liquidity Management helps firms to consolidate siloed systems into a single enterprise-wide ...