Back Office

Next Fixed Deposit

The NEXT Fixed Deposit page is the primary interface for creating new investment accounts for customers. This module automates the calculation of interest and maturity dates based

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Back Office

Data Capture

The Data Capture page is a versatile transaction entry module designed for recording various manual financial movements across the system. It supports both Customer Ledger and General Ledger (GL) accounts, allowing

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Sikasoft Fusion

Funds Transfer – Bank to Cash

The Funds Transfer – Bank to Cash page facilitates withdrawing funds from an internal branch Bank Account and bringing physical cash into a Teller’s Cash Till or

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Back Office

Funds Transfer – Cash To Bank

The Funds Transfer – Cash to Bank page facilitates the physical movement of cash from a Teller’s Cash Till or Branch Vault into a designated internal branch

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Back Office

Funds Transfer- Bank To Bank

The Bank to Bank Transfer page allows back-office staff to securely transfer funds from one internal branch bank account (Source) to another internal branch bank account (Destination).

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Back Office

Expenditure Payment

The Expense Payment (Expenditure Cash Book) page enables tellers and back-office staff to process outgoing payments for branch expenses. The module properly debits selected General Ledger (GL)

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