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Reconciliation Systems

VendorMatch Directory

Find reconciliation systems on our financial technology solutions research platform, use the directory for vendor discovery, and use our guide to compare and evaluate fintech software including reports and RFIs on functionality covering support on trade positions and on cash positions used by financial institutions for banking, investment management and capital markets.
  • SmartStream’s reconciliations solutions automate and standardise processing to enhance match rates and operational insight. They incorporate com…
  • SmartStream’s digital payments solution automates reconciliation, settlement, fee calculation and dispute management processes. It supports all…
  • The Maximus TRACE automated reconciliation system allows a bank to operate at a new level of efficiency, speeding up the process and reducing ef…
  • Currently, ECS offers the following solutions and services. 1. IMS Gateway – an Enterprise Message Hub 2. IMS Payments – an Enterprise Payment H…
  • The Precise API is a streamlined solution that connects and aggregates business accounting data for enterprise users, including financial instit…
  • ChequePlus is a complete solution for managing, processing, clearing, and reconciling cheques. It helps banks, financial institutions, governmen…
  • SS&C PORTIA is the industry's premier middle-to-back office solution, automating the operations of more than 200 investment managers in over 40…
  • AZ7® is a payment platform for financial institutions or merchants, which integrally allows you to manage all your channels and transactions thr…
  • Finastra Summit solves the many challenges of today’s markets. It combines unique coverage of vanilla and complex derivatives with powerful work…
  • A unique hosted investment data platform and service supporting investment organisations in turning their data into wisdom, utilising best-in-cl…
  • Smart analytics that does not disappoint. Comarch Business Intelligence (BI) is a toolkit for accurate data analysis and reporting. Thanks to C…
  • BRITech's platform blends efficiency, simplicity and flexibility into an online suite that fully supports the needs of both front and back offic…
  • Finuevo Payments is the complete payments solution, developed by Profile Software which supports multiple networks including users, payment chan…
  • Manage regulatory change in real-time Breeze through regulaotry texts with Grath's interative regulaotry rulebooks. Stay ahead of the curve with…
  • Enterprise-grade Mobile Wallet Platform Ready, proven, one-stop-shop solution, enabling financial service providers to leverage the winning use…
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EVALUATING RECONCILIATION SOLUTIONS

Reconciliation systems are evolving. Traditional post-settlement trade and cash reconciliation processes are being replaced with systems that cover the complete transaction life cycle (order, execution, allocation, confirmation, matching, settlement, etc.). The new systems are capable of handling complex data transformation and generic reconciliation with unlimited matching capabilities. In addition, today's systems semi-automate exception management in an effort to achieve near real-time processing.

With the spotlight on operational risk and business efficiency, securities firms are taking a hard look at their middle- and back-office processes, including reconciliation. Today's reconciliation platforms, with their advanced functionality, look to improve the reconciliation process by making information more accurate and automating operational flows across the transaction life cycle.

KEY CRITERIA:

  • Position reconciliation
  • Trade reconciliation
  • Cash reconciliation
  • Bank account reconciliations
  • Nostro Reconciliation Systems
  • NAV reconciliation
  • Linkage of cash, position and trade breaks
  • 3 way reconciliation
  • Resolve breaks from blotter
  • Break reason provided
  • Configurable reconciliation attributes
  • Flexible tolerance rules
  • Multiple reconciliation keys
  • Post GL cancel/amends from blotter
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