Embrace our leading cheque processing solutions which will help your business in its growth strategy. Reduce expenses and processing times through our automated and versatile solutions.
Get in touchImprove the efficiency of cheque amount encoding whilst reducing effort and costs.
Reduce cheque processing time and cheque rejection rates.
Benefit from a detailed electronic cheque reporting.
As the global banking sector is becoming all the more strategically focused and technologically advanced to respond to consumer expectations yet stay atop of the competition, innovation, technology-led convergence, data and analytics is reshaping the banking and financial industry.
Driving dramatic change, banks and financial institutions must decide whether they would like to look ahead and lead this change or focus on the present.
In comes our Cheque Processing System (CPS), an end-to-end cheque processing solution that can help fuel your business-led transformation and grow your company further.
Whereas in the past paper cheques used to be processed manually and took several days to clear, with a CPS system the entire process is automated, accelerating and facilitating it. PTL can provide a modernised cheque processing system that boasts a consistent codebase for all consumers, while it offers a high-level of configurability that fits with your business requirements and needs. In particular, our system offers the following features:
Would you like to find out more about CPS – Cheque Processing System?
Get in touchCreate incoming batch from file
Simple to use, cheque Clearing Data Exchange files can be imported from the application so as to create a batch right from it.
Scan cheques to create an incoming batch
Open a batch manually by scanning individual cheques via a scanner and have an export file generated for validation. The option to re-import the file at a later stage for processing the batch from an incoming file is also available.
Batch selection made easy
Select a batch from a list displaying full batch details including total cheque amount, number of cheques, as well as batch creation date.
Manage batch processing
From matched to un-matched and remaining cheques, the batch processing screen can display a list of selected batch sorted by their total value amount and according to bank cheques. At the same time, the count is constantly updated in real-time.
Settle rejected cheques with manual matching
Thanks to our solution, rejected cheques can be handled via the Un-Matched form located in the batch processing window. Data of each cheque can be manually edited, while cheques can be either edited or deleted from the batch. In addition, through the audit log table, each transaction is audited.
Create outgoing batches effortlessly:
Empty batches can be easily created and filled when needed with cheques accumulated from the cheque scanner, after which you may select a particular bank and export the Clearing Data Exchange file for the selected bank, while you also have the option to print an accompanying report.
Find everything you need with search utility
Recall cheque data and images of respective cheques from specific account numbers and dates with the help of the search utility feature. Implemented as a web interface and hosted on the clients’ on-premises infrastructure, filtered data can be export as a set of standard image files and any accompanying data as a Clear Data Exchange file.
Reporting at your fingertips
Reporting is an invaluable process when it comes to cheque processing. Our CPS software offers reporting on the following features:
• Cheque meta data including MICR data and value for each and every cheque, organised by account number and a given date range.
• Cheque quantities along with total amounts, classified by bank for a given date range.
• Cheque quantities along with total amounts, classified by bank for a given batch ID