FinExchange - Recieve Fully Automated Reporting
- Vendors, sub-vendors, brokers, and investment banks etc. report directly to exchanges in various formats making analysis difficult and time consuming.
- Billing reconciliation is inefficient due to inaccurate measure of data distribution.
- Time consuming manual efforts are required to match client reporting against billing.
- Internal sales and marketing plans are not based on precise information.
- Use FinExchange as a central point for exchange reporting from all clients regardless of their reporting formats.
- Use FinExchange to automatically reconcile data access declarations against client permissioning information.
- Create precise invoices from accurate data.
- Use FinExchange to obtain useful analyses for your sales and marketing department.
- Automated integration to your financial billing system, including SAP, PeopleSoft, etc.
- Reporting and statistical analyses available.
- Enables manual and electronic reporting capability for exchange clients.
For more information contact you nearest BST office.