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Integrates with core
banking application
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Check 21 Ready (Import X9.37 files,
Electronic X9.37 return items)
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Duplicate Detection for Incoming Cash Letters
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Check 21 Substitute Check Printing
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Daily
reconciliation/match of check images and account transactions
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Simple,
easy to use screens for processing and accessing images
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Flexible
image printing formats with individual account specifications
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Electronic Statement Delivery (CD-ROM, E-Mail, PDF)
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Full
use of Windows/SQL Server 32-bit environment
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User-defined
edits to ensure data integrity when outsourcing
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Built-in utilities help
users find and correct errors
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Easily re-prints customer
statements and images from archived data including
electronic delivery of previously archived statements
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Incorporates NSF and
exception item processing