Back Office
This module is used by the Back Office to:
- Check and Authorize Deals
- Authorize Limit Exceptions
- Create GL Journal entries
- Reconcile Branch Transactions
- Generate Central Bank reports
- Process Payments (Swift & Rtgs)
- Confirmation and Matching
BTeller
"Simultaneously minimize customer waiting time and deliver exemplary,
personalized service"
Sysbit Branch Teller (SBT) is a retail banking solution for the Bank Tellers.
It consists of 2 modules:
Branch Teller Administration
This module provides for the following:
- Security - Set up of teller, supervisor and management roles and
operational/transaction screens assigned to each roles.
- Logs - Provides access logs and audit trails of modifications to the
setup data contained in the module.
- Limits - Allows for the creation of limits and authorization levels for
limit exceptions,
Branch Teller Front End
This module provides electronic forms for:
- Banking transactions - for performing the financial transactions
for customer’s accounts, for example, deposits and withdrawals.
- Account maintenance - Operations for opening, maintaining, and closing
customer accounts and ancillary services.
- Inquiry screens – Search for customer and branch information.
- Teller operations – Operations to open teller bins, maintain and
reconcile balances and close teller bins
- Branch Operations – Start day and end day processes for reconciliation
with the core banking system
- Authorization - Allows for managers and supervisors to view snapshots of
transaction screens either at teller workstations or remotely at their own
workstations and authorize transactions. Alerts for authorization are
automatically directed to the appropriate authorization user.