CASH Bridge facilitates a hand-shake between the clients’ core data and the CASH Suite’s native database, so the imported data can be accessed by the extensive analysis options within the CASH Suite.
With Bridge, users can import loan and deposit accounting information, including collateral details, along with associated relationship data for borrowers and guarantors. Because each bank is different and their needs are unique, users may easily add additional data fields to the CASH Suite enterprise database. Thus, integrating and accessing all the data they need under one roof.
Bridge is designed to import data from various resources and formats. Furthermore, the Scheduling tool within Bridge allows such imports to be automated and treated individually. Imports may be scheduled nightly, weekly, monthly, etc.
The CASH Suite’s newly introduced CASH Doc feature, takes advantage of Bridge’s invaluable link to core data, enabling users to produce standard credit communications like loan write-ups, classified credit reports, loan reviews, etc., with more efficiency.
CASH Bridge. Linking to the Core.