Transaction Posting Date Control – Allow operations to designate the date the transaction will be posted. This allows flexibility in the performance of date changes to confirm transactions are correctly posted. This ensures accurate compliance reporting information and accurate transaction activity capture for analysis.
Order Spread Sheets -) Order Pick Lists) Provide an operational task assignment and balancing tool for better control and distribution of funds.
Shipping Label Protection – Eliminate manual of shipping labels and handwriting errors.
Carrier Manifests – Eliminate the manual creation of carrier manifests and handwriting errors.
Data Retention – Provide research data and report on detailed transactional information as needed.
Control and track deposit bags and containers of bags from point of entry into operation until opened and processed. Configurable operation
Simplified Deposit Processing – A teller processing aid for truncated environments (Proper handling of transaction documents)