Current and savings accounts, term/call deposit accounts, cheque accounts, cheque management, inward cheque processing, direct debits, overdrafts, restraints, account sweeps, domestic payments, international remittance, mortgages, personal loans, passbooks, trust services. Integrated reporting, data warehouse and analysis modules. Single, centralised Customer Information File. General ledger. Multi-branch, multi-currency, multi-base currency, multi-lingual support. Standardised integration platform for third party systems such as ATMs, POS, card management, internet banking, phone banking etc. FX, MM, commercial loans, deposits, syndicated loans deposits, cheque accounts, funds transfer, exchange traded futures and options, OTC options, bonds, FRAs, FRNs, CDs, commercial paper, precious metals, bullion, convertibles, gilts and repos, securities, interest rate and currency swaps, nostro and vostro accounts, deal capture, reconciliations. Interface to Thomson Reuters’ Dealing 2000, Swift and Oracle Financials. Trade finance.