Email Contact Phone Company Visit Website

Atlanta, Georgia Office

3930 East Jones Bridge Road
Atlanta
GA
US

Owings Mills, MD Office

25 Crossroads Drive, Suite 200
Owings Mills
MD
US

Los Angeles Office

11150 Olympic Blvd, Suite 600
Los Angeles, CA
US

Telephone

617-217-2816

Contact

Melanie Cousins
[email protected]

RECON Securities

Our Frontier solution is the latest version of RECON Securities

Whether you’re managing cash; securities instruments; suspense, bank and Federal Reserve accounts; or intercompany transactions, rely on Frontier to:

  • Reduce financial risk
  • Increase financial reporting efficiency
  • Lower costs
  • Increase the transparency and accuracy of the bank reconciliation process
  • Ensure adherence to regulatory and compliance mandates – both internal controls and external

Our integrated financial reporting offering includes:

  • Transaction matching – A powerful state-based matching engine. It comprehensively checks large quantities of financial data for accuracy against anticipated results, based on configurable rules
  • Account reconciliation – Automated account reconciliation across all account types for effective risk management and compliance controls
  • Exception management – A fully audited, workflow-driven case management environment that ensures consistent and timely identification and resolution of exceptions
  • Account reconciliation and certification – A fully automated and audited process flow based on industry accepted compliance frameworks. Provides critical support for regulatory compliance-related reconciliation and certification review and sign-off (for example SOX 404)
  • Spreadsheet financial control – A powerful spreadsheet discovery and financial control solution that will mitigate potential risk and liability for your business
  • Internal controls – Performance management and reporting for a real-time, enterprise view of transaction activity that enables you to capture and monitor key performance, operational risk and control indicators

Control your accounting reconciliation and/or back office operations with power and flexibility. Leverage our experience, amassed from working with more than 1,000 customers globally – including bankers, asset managers, hedge funds, broker dealers and custodians to insurance, retail, manufacturing, energy and utility companies.

For more information visit www.fiserv.com/financialcontrol

 

View other products from Fiserv

AML Manager

Best-in-class solution for Anti-Money Laundering detection, management and reporting. AML Manager covers the complete range of AML processes and compliance practices – offering one fully-integrated solution for your financial services institution. For more information visit www.financialcrimerisk.fiserv.com

APL

Fiserv leads the way in portfolio management, trading, performance measurement and investment manager information. By utilizing APL, investment managers, SMA managers and sponsors can streamline and automate their operations.

Accurate

Increase efficiency, mitigate risk and enable compliance Robust financial controls are paramount to ensuring transaction and data integrity, operational risk management and financial accounting compliance. Fiserv tightens your processes so that nothing falls through the cracks. Whether you’re managing cash; securities instruments; suspense, bank and Federal Reserve accounts; or intercompany transactions, rely on our Financial …