

Our Dedicated Reporting Portal is a secure,
web-based platform that provides businesses with comprehensive visibility into
their transaction activities across all banking solutions. Designed
specifically for reconciliation and financial control, the portal delivers
real-time data, downloadable statement and reports, and actionable insights to
support faster, error-free financial operations.
Our Statement API Suite empowers businesses
to pull real-time transaction and reconciliation data directly into their
internal systems—whenever they need it. Instead of logging into portals or
waiting for scheduled reports, clients can seamlessly consume our APIs to fetch
customized reports on-demand and integrate them with their ERP, accounting, or
reconciliation tools.
With our Push Reporting via API
Integration, your business no longer needs to pull reports manually. Instead,
we automatically push transaction data, settlement reports, and reconciliations
directly into your ERP or financial system at defined intervals or in real
time. This seamless, secure integration enhances efficiency, reduces manual
workload, and ensures your teams always work with up-to-date information.
Our MT940 Statement Generation service enables corporate
clients to receive their account statements in the internationally recognized
SWIFT MT940 format. Designed for seamless integration with ERP and treasury
management systems, these statements deliver structured, machine-readable
transaction data—facilitating fast, accurate, and fully automated
reconciliation.
The bank’s e-Statement Generation service provides
customers with electronic versions of their account statements, delivered
securely and conveniently via email or through an online portal. These digital
statements offer an eco-friendly, accessible alternative to traditional paper
statements, enabling clients to review their financial activity anytime,
anywhere. Based on business need, tailored account statements can be prepared
by client as per their required formats in our digital platforms.
The bank’s Liquidity Management solutions help businesses
efficiently manage their cash flow by providing real-time visibility and
control over their liquid assets. This service enables corporate clients to
optimize working capital, ensure sufficient funds for daily operations, and
make informed investment or borrowing decisions.
Our Dedicated Reporting Portal is a secure,
web-based platform that provides businesses with comprehensive visibility into
their transaction activities across all banking solutions. Designed
specifically for reconciliation and financial control, the portal delivers
real-time data, downloadable statement and reports, and actionable insights to
support faster, error-free financial operations.
Our Statement API Suite empowers businesses
to pull real-time transaction and reconciliation data directly into their
internal systems—whenever they need it. Instead of logging into portals or
waiting for scheduled reports, clients can seamlessly consume our APIs to fetch
customized reports on-demand and integrate them with their ERP, accounting, or
reconciliation tools.
With our Push Reporting via API
Integration, your business no longer needs to pull reports manually. Instead,
we automatically push transaction data, settlement reports, and reconciliations
directly into your ERP or financial system at defined intervals or in real
time. This seamless, secure integration enhances efficiency, reduces manual
workload, and ensures your teams always work with up-to-date information.
Our MT940 Statement Generation service enables corporate
clients to receive their account statements in the internationally recognized
SWIFT MT940 format. Designed for seamless integration with ERP and treasury
management systems, these statements deliver structured, machine-readable
transaction data—facilitating fast, accurate, and fully automated
reconciliation.
The bank’s e-Statement Generation service provides
customers with electronic versions of their account statements, delivered
securely and conveniently via email or through an online portal. These digital
statements offer an eco-friendly, accessible alternative to traditional paper
statements, enabling clients to review their financial activity anytime,
anywhere. Based on business need, tailored account statements can be prepared
by client as per their required formats in our digital platforms.
The bank’s Liquidity Management solutions help businesses
efficiently manage their cash flow by providing real-time visibility and
control over their liquid assets. This service enables corporate clients to
optimize working capital, ensure sufficient funds for daily operations, and
make informed investment or borrowing decisions.