Credit Unions
- Back office co-sourcing solutions for credit unions
- CECL modeling and accounting
- Daily Processing: ACH, ATM, Share Drafts, Bill Pay, Debit and Credit Cards
- ACH – Work Exceptions
- ACH – Manual Returns
- Share Drafts – Work Exceptions
- Share Drafts – Manual Returns
- ATM/Debit – Work Exceptions
- Corporate Account – Manual Posting
- Month-End Journal Entries
- General Ledger Close
- Loan & Investment Maintenance
- Monthly Processing: Month-End Close, GL Reconciliation, and Financial Statements
- CFO Consulting and Regulatory Assistance
- Call Reports and Examination Support
- Loan/Insurance/Mortgage Processing and QC Services
Wealth/Asset Managers
- Daily account reconciliation that ensures consistent and accurate accounts
- Customized, GIPS compliant pre-tax and after-tax performance reporting
- Succinct billing preparation
- Separately managed account reports processing
- Timely cost basis updates
- Comprehensive monitoring of overnight processes
Private Equity/Venture Capital/Real Estate Funds
- Financial Reporting
- Investor Relations Management
- Administration & Compliance
- Reconciliation
- General and Limited Partner Accounting
Hedge/Mutual/Pension Funds
- Daily reconciliation and performance reporting
- Data aggregation and quality control
- Margin calculations and reports
- Alternative investment statement processing
- Automation development and bot deployment
- Fund Accounting
- Investor Relations
- Administration & Compliance
- Trade Operations
- Treasury