PayRecAI

CLAIM MANAGEMENT

Get me the money! Faster! PayRecAI provides the full suite of automation requirements required to manage the multitude of cash flows that arise in Capital Market businesses. These consist of both receivables and payables management across the areas of 1) identification 2) valuation 3) issuance 4) management. Approach is to manage receivable and payable cash flows together.

WHAT WE DO BEST

Throughout their careers, the PayRecAi team have been delivering the best sell side Capital Markets receivable and Payable solutions. Now we are doing it for the buy side also!

PayRecAI ready to go workflows based on award winning processes

At PayRecAI we have experience of a delivering solutions in the areas 1) Dividends 2) Coupons 3) Settlements 4) Tax 5) Compensations 6) CSDR 7 ) Brokerage and fees 8) Derivative cash flows 9) CSA etc. PayRecAI is ready to go!

Reduce operating friction

All cash flows can be accommodated and flexibility allows regulatory and other processes to be accommodated

With increasing focus on regulation, the location and ownership cash flows cannot be easily handled in source systems. The addition of PayRecAI to manage all the cashflows (or a subset) means that a single system can provide the relevant automation as well as best in class spend management, rather than amending everyone of the clients sub systems.

Reduce operating volatility

Manages both Receivables and payables, integrates with the full suite of PayRecAI products and can be delivered altogether or incrementally

The complete PayRecAI suite can be used to optimise the recovery and settlement of cash flows. It can integrate upstream and downstream and accept multiple data types in different formats.

Strategy

OUR PRODUCTS

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can help you optimise your contra and cost save revenue