at Financial Technnology Year
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Reconciliation Solutions for Operations
Systems that automate the matching and reconciliation of transactions across various systems and accounts.
Other Operations
APIs that allow businesses to integrate Caxton’s payment services with their own systems for automated and streamlined payments, reconciliation, and reporting. Enables bespoke workflows, reduces manual data entry, and optimizes back-office processes.
End-to-end reconciliation and exception management platform supporting all reconciliation types including cash, securities, derivatives, and nostro. Offers AI and machine learning capabilities, automated matching, exception handling workflows, and regulatory compliance reporting.
Integrated reconciliation solution for banking operations that provides automated matching, exception handling, audit trails, and regulatory reporting. Supports various reconciliation types including GL, nostro, and securities reconciliation with configurable matching rules.
Enterprise-grade reconciliation platform with real-time processing capabilities. Features include automated data transformation, intelligent matching, exception management, configurable workflows, and comprehensive audit trails. Supports all types of financial reconciliations and regulatory requirements.
Centralized finance platform with built-in reconciliation capabilities. Provides automated account reconciliation, exception management, and audit trails. Enables banks to streamline period-end close processes and improve financial control while ensuring regulatory compliance.
End-to-end reconciliation solution for banking operations that automates the reconciliation of accounts, transactions, and data across multiple systems. Includes intelligent matching algorithms, exception management, workflow automation, and reporting capabilities for regulatory compliance.
Automates the reconciliation process using AI technology for accurate transaction matching and real-time reporting, along with robust audit trails.
This solution allows financial institutions to automate their reconciliation workflows, manage exceptions, and ensure data accuracy for compliance and reporting requirements.
End-to-end reconciliation solution that automates the matching of transactions across multiple systems. Includes exception identification and management, configurable matching rules, workflow automation, and comprehensive reporting for compliance and audit purposes.
End-to-end reconciliation platform with comprehensive data management capabilities. Features include automated data ingestion, configurable matching rules, exception management workflows, and robust reporting tools. Supports various reconciliation types including cash, securities, and regulatory reconciliations.
Machine learning-powered reconciliation platform that automates matching, exception management, and reporting. Features include no-code configuration, flexible data intake from any source, intelligent match rules, and enterprise-grade controls for regulatory compliance.
Automated reconciliation solution specifically designed for banking KYC processes. Features include automated data matching, exception management, audit trails, and reporting for regulatory compliance. Helps banks maintain accurate customer records and comply with AML regulations.