1. MICR CHEQUE CLEARING
ELECTRONIC CHEQUE/ EFT CLEARING SYSTEM
This system has been developed for Bank of Uganda, Nile Bank Ltd, Cairo International Bank Ltd, Standard Chartered Bank Uganda Ltd, Tropical Bank, Bank of Baroda, Crane Bank as part of the computerisation process of cheque clearing which applies to all Banks in Uganda. Though custom configured for each client the system basically involves the integration of equipment (MICR Cheque Readers) with the Clearing Software, which in turn has to be integrated with clients’ Banking Systems.
2. EFT PROCESSOR
EFT & SALARIES PROCESSOR
This system has been developed for Nile Bank Ltd, Standard Chartered Bank, Bank of Baroda and Tropical Bank as part of the enhancement of back-end automation. The various modules permit the bank’s to generate large volumes of outgoing EFTs and internal payments both inward and outgoing us standard and bespoke file formats. The system has been further enhanced to allow for the processing of incoming RTGS messages for upload to local accounts
3. TRADE SUITE
This application was developed for Allied Bank International (Bank of Africa) and is an integral part of the operations of the treasury, money market, and trade finance operations of the bank. From cheques on collection, treasury deals, TTs, and LCs the system handles the capture of key information at both the head office and branch level allowing staff to easily generate posting entries as well as generate useful reports and transaction information.
4. EFT MODULE
ELECTRONIC FUNDS TRANSFER
This system has been developed for Standard Chartered Bank Uganda, Nile Bank Ltd, Bank of Baroda, Tropical Africa Bank, and Cairo International Bank as part of the Clearing House requirements in Uganda to facilitate local electronic Funds Transfer.
5. HELP DESK
THE HELPDESK SYSTEM
This system has been designed to provide clients with the efficient management of problems by enabling the recording and tracking of all details, thereby ensuring efficient resolution of problems. Implementation has covered computer related problems, procurements and project management in the computer department of Standard Chartered Bank Uganda Ltd. The System under the guidance of an administrator tracks problems, resolution time and the performance of individual action officers. Plans are underway to expand this system to operate over the clients WAN.
6. INVENTORY MANAGEMENT
INVENTORY AND REMOTE EQUIPMENT MOVEMENT MANAGEMENT
This system in addition to providing a front end to an inventory database for a client also allows the generation of equipment movement forms, and subsequent update of the central database from remote points. Currently under trial at Standard Chartered Bank Uganda Ltd, when fully implement will allow Head Office to monitor the location, movement, and utilisation of equipment at branches in Mbale, Mbarara, Jinja, and Kampala. The system works over a combination of a LAN, lease line and VSAT based WAN ported to a Win2K® Server.
This system has been designed to control the Stock Operations of clients by keeping track of all orders, deliveries, requisitions, payments and inventories relating to stationery as furnished by Suppliers and consumed by Client Departments, Staff or Cost Centres. The system has been developed for Nile Bank Ltd, Standard Chartered Bank Uganda Ltd, Allied Bank International and VR Promotions.
THE STOCK CONTROL SYSTEM
As with Stationery Control, the Stock Control System has been designed and implemented to keep track of all orders, deliveries, requisitions, payments and inventories relating to stock items other than stationery. Clients for this system range from industrialists such as Gentex Enterprises, to San Ltd (Speke Hotel).
PAYMASTER, THE PAYROLL MANAGER
An automated payroll generator designed and implemented to provide clients with the management of personal information, disbursements and fast and easy access to all recent and historical employee data. The system has been implemented for Allied Bank.