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