Services

Disciplined, auditable workflows aligned to your co-op rules.

Member Administration & Accounts

  • Onboarding and document capture
  • Account updates and terminations
  • Referrals and partner allocations
  • Member portal access & statements

Funds & Transactions

  • Deposits, switches/transfers, withdrawals
  • Loan processing and repayments
  • Bank reconciliation

Instruments & Pools

  • Create and maintain underlying instruments
  • Daily price updates
  • Daily patronage proportioning

Reporting & Audit

  • Member statements and confirmations
  • Cash flow, stock movements, VAT support
  • Audit-ready exports
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