Financial syndicated loan cases involve diversified financial products, enterprise groups, and multi-party syndicated banks. The content is not only varied but also complicated in accounting. If it is a cross-border or international joint loan case, it is even more necessary to consider multilingual and multi-time zone processing. We need to handle huge amounts of accounts with limited manpower while simultaneously taking into account operational quality. Risk management and efficiency are the greatest values of the joint loan management information system, and it is also a must-have for the auxiliary system of each joint loan business team.
Pershing Joint Loan Management System adopts a standard three-tier system architecture--1) Microsoft, 2) .NET development technology and 3) MVC web page architecture. It uses modular development methods to achieve component sharing. Each joint loan condition adopts parameterized settings to improve system management efficiency and reduce system maintenance costs.
Through modular design, we can achieve component sharing, data verification, data inventory access management, integrated user authentication, transaction authority control, etc., and thus can easily achieve daily maintenance and management.
Use the cache mechanism to store frequently used application data to improve application performance.
The parameterized setting mechanism can calculate the interest receivable, expenses, principal repayable, and the amount allocated by a participating lender on the specified date, and produce accurate and correct notification forms.
Integrate external systems and resources, reduce the burden on operators, and improve the accuracy and efficiency of operations.
Can support the operation needs of overseas branches across multiple time zones and languages
Supports Taiwan dollar, U.S. dollar, renminbi... a variety of credit currencies
Chinese and English versions are both supported
Case-related materials are stored centrally for easy management
Calculate the available quota instantly to facilitate client funding arrangements
It can be equipped with TWS scheduling management tools to produce a task list, reminders, and statistical reports on a regular basis
Systematic control, calculation, and storage of case data
Effectively improve work efficiency, accuracy, and reduce work errors
Real-time grasp of the dynamic progress of joint loan cases
Daily reminders without missing a beat
The supervisor can check work progress and completion on the daily calendar
Complete preservation and management of related attachments
Regular production system statistical reports, easy case management
Tel:+886-2-26581910 #2001
E-mail: service.ptsc@pershing.com.tw