Financial Accounting
Suite Features
General Ledger Key Features
- A comprehensive financial database including
balances, averages, budgets and processed journal entries with
multiple years of historical balances, reports and transactions
- Daily,
monthly, quarterly and year-end general ledger processing,
plus the ability to back-date journal entries up to 12 months
and future-date journal entries up to two months as well as
schedule entries to multiple general ledger accounts
- Multiple
account views including current and historical actual, average
and budget
- A library of standard reports, which can
be automatically generated, plus custom reporting capabilities
provide consolidated financial information at the institution,
branch office or department level
- Responsibility-center
reporting with user-defined hierarchy tables, along with
cost accounting and other performance measuring tools, improves
accountability and reveals opportunities for greater profitability
- Fast
throughput for processing large volumes of data
Accounts Payable Key Features
- Decentralized payment processing with
management control
- Users can specify customized parameters
including journal entry interfaces, ACH data and 1099-MISC
data
- Proactively manages your relationships with
vendors and suppliers and maintains complete vendor information
- Automates
recurring payables such as rent or leases, and forecasts
cash requirements by vendor and due date
- Automates tax reporting
by printing 1099-MISC Reporting forms and creating the 1099-MISC
magnetic file
- Allows for cash or accrual-based accounting
and creates journal entries that can be interfaced to your
general ledger
Fixed Assets Key Features
- Automates and simplifies fixed asset management
and maintenance to support tax law updates
- Streamlines FASB compliance and tax
reporting requirements
- Pre-defined automatic reports help you
capture precise dat
- 38 different methods of depreciation,
as well as all half-year conventions, calculation and
tracking of monthly depreciation, investment tax credit
and recapture
- Ability to create user defined fields
for assets
- Maintains five independent sets of financial
information on each asset and allows analysis by displaying
three sets of books side-by-side
- Provides a spread of future
years’ depreciation forecasts in detailed reports
and allows
distribution to multiple general ledger accounts
- Creates journal
entries that can be posted to your general ledger
- Automates
set-up of new assets from accounts payable system
Financial
Accounting Suite
Benefits | Request
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ProfitVision™ Features
- Rapid segmentation of customers, products
or business entities according
to dollars,
yield, value indicators and many other metrics
- Matched maturity
funds transfer pricing for the most precise analysis of
the net interest margin
- Variety of cost allocation methodologies
for accurately assessing overhead at any level of your business,
including individual
customer accounts
- Activity-based cost allocations to show
resource consumption of specific activities such as loan
organization based
on actual customer usage patterns
- Risk-weighted capital
allocation to analyze customer, products and business units
for ROE
- Customer Value Indicator Scores exportable
to third-party reporting software, data warehouses and data
marts
- An
open environment with many entry points for customization
and standard interfaces for integration with core systems
- Scalable
architecture supporting Microsoft® Windows® and
Windows XP ® workstations,
Windows XP ®,
or UNIX® servers
and Oracle®,
MS SQL® and DB2/UDB® databases
- Budget and
forecasting analytics to compare plan versus
actual results
ProfitVision
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Asset
Liability Management and Financial Planning System Features
Financial Guidance Tool
- Clear and Uncluttered Menus for ease-of-use
- Flexible, Unlimited Chart of Accounts
- Data Download Interface
- High Speed Operation with Immediate Feedback
- Presentation Color Graphics
Interactive Simulations
- Balance Sheet Growth Models with Seasonality
- Maturities – Contractually Scheduled
- Dynamic Prepayment Modeling
- Dynamic Pricing Models
- Automatic Amortizations
- Fee Income Models
Reporting
- Complete report accuracy-totals and ratios
are system controlled
- Automatic re-formatting for category additions
- Multiple levels of detail
- Batch print or slide show options
- ALL reports available instantly
- Complete Windows® integration
Asset
Liability Management Benefits | Request
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