Our Product

FX Dashboard

FX Dashboard

Fx Dashboard is a feature-rich financial management solution that provides a wide range of tools to support the operations of financial institutions, remittance service providers, and foreign exchange businesses. It enhances efficiency, accuracy, and compliance while offering comprehensive financial reporting capabilities

System Features

Detail Reports
Full Fledged Accounting Module

The Fx Dashboard provides a robust accounting module that allows users to manage financial transactions, ledger entries, and maintain accurate records of all financial activities. This module ensures compliance with accounting standards and practices.

Buying & Selling FX Currencies

The Fx Dashboard allows businesses to buy and sell foreign exchange currencies, facilitating currency exchange operations. It provides real-time exchange rate information and ensures smooth currency transactions.

Expense Management

Businesses can track and manage expenses within the Fx Dashboard, making it easier to monitor costs and allocate budgets effectively. This feature aids in expense control and financial planning.

Remittance Data Validation Features for Fraud Prevention:

The Fx Dashboard incorporates advanced data validation features to prevent fraud and ensure the integrity of remittance data. It helps in identifying and mitigating fraudulent activities.

Various Reporting Tool

The Fx Dashboard offers a variety of reporting tools that allow users to customize and generate reports according to their specific needs. These tools enable data visualization and analysis.

Payroll Module

The software includes a payroll module, enabling businesses to efficiently manage employee salaries, taxes, and other payroll-related processes. It simplifies payroll processing and ensures accurate and timely payments.

Cash Distribution and Collection from Branches

Users can efficiently manage cash distribution and collection processes across various branches. This feature helps in maintaining liquidity and optimizing cash flow within the organization.

IMTO Reconciliation & Settlement

For organizations dealing with international money transfer operators (IMTOs), this module enables reconciliation of transactions and settlements with IMTO partners, ensuring accurate financial reporting and compliance.

Periodic Analysis of Remittance Data by Location & IMTO

Users can perform detailed analysis of remittance data, breaking it down by location and IMTO partner. This analysis aids in identifying trends, optimizing operations, and making informed business decisions.

Remittance Management Module (Sending & Payout

This module facilitates the sending and payout of remittances, allowing users to efficiently handle international money transfers. It includes features for customer registration, transaction tracking, and compliance with remittance regulations.

Daily Banking

The software offers tools for daily banking operations, such as cash deposits, withdrawals, and reconciliation. This ensures that daily financial activities are managed accurately and efficiently.

Cashpower Vending Module:

This module allows businesses to manage the sale and distribution of prepaid utilities or cashpower, making it convenient for customers to purchase services like electricity or mobile airtime.

Financial Reporting

The software generates comprehensive financial reports, including balance sheets, trial balances, profit and loss statements, and ledger statements. These reports provide a clear view of the organization’s financial health.

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