Banking

A platform that meets banks’performance requirements.

More than ever, banks (investment,private, retail, neo-banking, etc.) areunder intense regulatory pressure.Increasing transaction volumes areheightening the complexity fordownstream, back-office and middle-office teams to process informationand ensure accurate control offinancial transactions. Regulatoryauthorities are urging companies toimplement strategies for operationalresilience, and to strengthen financialgovernance by adopting controlprocesses that are equal to thechallenge.

The ability to access accurate dataquickly, whatever the volume, is amajor growth challenge, and one thatCALIXYS can help you meet.

A platform that meets banks'performance requirements

The CALIXYS platform coversall a bank’s data reconciliation andjustification requirements: Finance,Investment, Treasury, PaymentInstruments, Cards, Accounting,ATMs, etc., and handles very largevolumes of data with ease and highperformance. It easily combines simple to complex reconciliations(multi-source).It facilitates collaboration, enablingteam exchanges and exceptionfollow-up actions. You gain greatervisibility of your financial data andoverview of the resolution ofdiscrepancies.

Manage all types ofreconciliation with our highly scalableplatform

Facilitate collaboration betweenyour finance and accounting teams

Easily handle very hightransaction volumes

Strengthen your financial governance with automated controls

Respond to regulatorypressure on time without affectingyour productivity, thanks to numerousautomation functions for reconcilingfinancial data and justifying accounts.Fully adapted user profiles withdifferent levels of accreditation andsegregation of duties.Common repositories that can bequickly configured. Full traceability ofthe transaction lifecycle. A completeplatform audit trail ensures clear andprecise visibility of all systemconfigurations and actions.

Mitigate risk with fully centralizeddata management

Reduce financial losses due tonon-justification

Implement an efficient strategyfor controlling your financial data

Discover how to improve your transactions reconciliation

Moins de temps consacré à la clôture des comptes

0 %

Réduction des pertes financières dues à la non-justification

0 %

Déduction du temps consacré à la gestion des rapprochements

0 %

They trust us

The power and adaptability of theXREC solution, in the face of thediversity of matching rules we need,makes this tool a central element inthe monitoring of our daily operations.

Alexis MICHARD

Head of Permanent Control, OrangeBank

XREC nous a permis d’automatiser le rapprochement de nos comptes bancaires avec nos données comptables en fiabilisant les états, en gagnant du temps de traitement et en facilitant les différents niveaux de contrôles grâce à une organisation des espaces de travail très claire.

Stéphanie MAUPEU

Responsable comptable, Banque Edel

XREC est un élément majeur de la tour de contrôle permettant de vérifier la bonne comptabilisation des opérations financières. Nous avons retrouvé des rapprochements automatisés qui permettent un gain de temps considérable pour l’équipe métier.

Olivier JEAN et Ronald MOUNIEN

DG Délégué et Resp. SI Finance, NICKEL