Reflecting the settlement of receivable and payable cash flows is often not automated. Settlement flows can be complex, including intercompany postings and the creation of and subsequent settlement of balances identified and calculated by PayRecAI solutions themselves (e.g. Interest Compensations). Our Posting product is expert at these requirements.
As part of the posting module or accept amounts from source systems.
While PayRecAI recommend deployment of all relevant modules together, we recognise that often a phased deployment, with immediate value being delivered that can be enhanced later is often desirable. The posting module, can be deployed at any time in line with Client preferences
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Our core Interest Compensation engine is the result of 30+ years experience in this area.
This solution is critical in Contra-revenue optimisation. It allows you to digitally record the costs that you are charged for services be they Capital Markets Brokerage or Legal billing etc – facilitating real time comparisons so you get the best value
Supporting both buy side and sell side participants in minimising the cost of executing Derivative transactions, this product consumes data from Clients own rates repository/ repositories or from the PayRecAI’s repository solution
This product is one we highly recommend to be deployed in conjunction with all our solutions or on it’s own. It ensures that the real world view is reflected on the firms books and records and removes reliance on people to either fully or partially post manual entries and the inevitable issues that gives rise to.
Payments are an essential business activity. The PayRecAI team have been supporting clients in automating payments (with appropriate controls!), for 20+ years.
Show me the money! Our Analytics and reporting capabilities are at the core of what PayRecAI does to identify and deliver Contra Revenue for clients based on optimisation and insights. Contra Revenue includes additional revenue, reduced costs, reduced regulatory capital requirements.
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.
PayRecAI delivers two solutions in this area that can be combined for a full solution: A) Brokerage receivables management B) Brokerage payables management C) A) and B) combined
The PayRecAI team believes that there are two levels of opportunity to benchmark: A) Internal – ensure that the rates we are paying across different geographies, and entities are consistent and optimised on the best value B) External – ensure that the rates we are paying across different geographies, and entities are better or equivalent to you’re your peers are paying C) A) and B) combined
DPR is a specialist solution focused on providing the ability for clients to ensure completenesss of Dividend Processing events
Automate your Tax reclaims workflow with our modular Tax reclaims product
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can help you optimise your contra and cost save revenue