This application is an integral part of the operations of the treasury, money market, and trade finance operations of our banking clients. From cheques on collection, treasury deals, RTGS and TT payments, 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. The system also posts to the Core Banking System via a bridge and handles the import of thousands of records from the transfer networks.