Trintech - Transaction Reconciliation Solutions
Solutions

Solutions

Trintech provides software and services that help commercial banks, credit unions, thrifts, savings institutions, insurance companies, brokerage, mutual fund and other financial service providers and their clients enhance performance, increase efficiency, reduce costs and improve compliance.

Positive Pay and Account Reconciliation Software

LCM Payments is a fully-integrated, web-based, treasury management services solution that automates more of a financial institution’s commercial clients’ core financial business processes than existing ARP legacy systems. LCM Payments can help clients better manage operational costs and organizational efficiency, as well as generate incremental value to enhance revenue potential.
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Healthcare Revenue Management Solutions

With Trintech’s Healthcare Solutions, your bank can deliver highly-valuable cash and transaction management services to your healthcare provider clients in a web-hosted environment. Offer contract management, remittance management, and transaction reconciliation solutions will give your bank a strong competitive edge and a new source for service revenue – all while helping your healthcare clients receive payments faster, reduce costs, and lower the administrative effort associated with processing healthcare transactions.
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Unity Platform Suite

Trintech’s Unity Platform enables users to plan, scope, schedule, perform, manage, and report on all corporate financial governance efforts. Unity components include Sarbanes-Oxley Compliance, GRC, Account Reconciliation, Financial Close, and Enterprise Risk Management. Financial Services organizations can use the Unity platform to integrate financial and compliance data, eliminate duplicate activities, and maximize financial governance efforts. With the Unity Platform, you’ll alway know that financial governance tasks are efficiently performed by the right people, in the correct sequence, and within the proper time frame.
» Learn more about the Unity Platform

Accounting Compliance Software

Increase the visibility and control of your General Ledger reconciliation and certification processes with AssureNET GL. Trintech’s AssureNET GL replaces manual review of account files using Excel and other applications with a self-documenting workflow and analysis tool that manages your entire GL reconciliation process. With AssureNET, you can improve compliance and reduce financial risk on your critical period-end processes. Management and accounting teams can see exactly which GL account files have been submitted, reviewed, approved and reconciled — when, and by whom — as well as accounts that are missing information or overdue.
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ReconNET Reconciliation Software

The ReconNET reconciliation system can help you automate over 90% of your financial reconciliation and account balancing processes in a single system. With ReconNET, your staff can do more in less time and focus on resolving exceptions, not discovering them. ReconNET manages reconciliation and research for any type of account — depository, loan, credit/debit card, suspense, unclaimed property, collection, disbursement, General Ledger, vault, teller, ATM, Federal Reserve, and others. With ReconNET, your organization can cut costs, reduce risk, tighten controls, increase compliance and make more informed decisions.
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Spreadsheet Management Software

If you want a solution that can provide a controlled environment for your key financial spreadsheets and one that is easy for finance, operations, and risk management end-users to adopt, then take a closer look at Trintech’s XLNET. XLNET is a comprehensive solution for spreadsheet controls, enabling users to continue working in their native Microsoft Excel environment, yet ensuring that compliance with corporate governance and Sarbanes-Oxley mandates is inherent in everyday business processes.
» Learn more about XLNET

On-Demand Solutions

On-Demand applications help organizations reduce total cost of ownership by eliminating “shelfware” and infrastructure costs; gain true business value from their information technology investment; stop dealing with costly, risky, and untimely on-premise projects. Trintech’s ReconNET, AssureNET Express, and Treasury eNET hosted applications are accessible via the web to any location anywhere in the world. We’ll manage technical and support operations so that you can focus on your core business processes.
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Financial Data Delivery

The DataFlow Transaction Network can extend your financial data retrieval or delivery capabilities and simplify your business processes. DataFlow performs daily retrieval, processing, aggregation and delivery of financial data, from any source to standard file formats for use in accounting, treasury, reconciliation and other systems. Banks and other financial institutions can offer access to the DataFlow Transaction Network to account holders as a value-added service. DataFlow services help you and your clients eliminate in-house data acquisition costs and effort, increase cash flow, and minimize exposure to fraud.
» Learn more about the DataFlow Transaction Network

I-TRACS Collection Reconciliation Software

I-TRACS processes and tracks domestic, international, and bond coupon collection items, automating back office operations across banks and branches for reduced effort, increased accuracy, and improved control. In addition to streamlining your collection processes, I-TRACS also includes configurable float calculations and fee scheduling and reporting to monitor and optimize collection fee income.
» Learn more about I-TRACS

Unclaimed Property Management

ReconNET TRACKER automates the complex legal due diligence and reporting processes for unclaimed property such as such as uncashed checks, unclaimed dividends, benefits, account balances and security deposits. TRACKER integrates with your financial systems to automate data collection from reconciliation, disbursement and other systems, and automates the due diligence process for unclaimed items. TRACKER maintains all current state requirements and report formats into one central database – reducing the time and effort involved in the management and reporting of unclaimed property and protecting your organization from costly non-compliance penalties.
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Bank Fee Analysis

Ensure accurate billing for services and build stronger bank-client relationships with Trintech’s Bank Fee Analysis solution. Trintech’s browser-based Bank Fee Analysis solution automates the analysis of monthly electronic bank statements. Bank Fee Analysis lets you interactively display and compare fee reports in a consistent format across every customer or bank, so that you can ensure that fees match contract rates and reported service use is accurate. When errors are discovered, integrated research features help you track and resolve issues quickly.
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Professional Services and Support

Trintech delivers dedicated, custom professional services with every solution to ensure that planning, design, implementation, training, and operation is tailored to best practices for your organization, with ongoing service and support. Trintech’s financial service experts also engage in consulting for process improvements above and beyond our product portfolio. Trintech can assist your organization with planning, strategy and execution of:

  • Best practice workflow and process improvements for account reconciliation and other cash management operations
  • Cost reduction
  • Revenue enhancement, including treasury management billing audits
  • Leveraging and integrating information assets
  • Enhanced compliance and audit readiness
  • Product management for cash/treasury management offerings
  • Commercial deposit re-engineering

» Learn more about Professional Services and Support