What this program includes
- ✓Currency rate board with separate bureau buy and sell rates in the chosen operating currency
- ✓Customer buy and sell transactions, fees, printable references, teller attribution, and an immutable ledger
- ✓Foreign-cash positions with weighted-average cost and insufficient-inventory protection
- ✓Realized spread profit, fee income, daily volume, currency exposure, and close/reconciliation reporting
- ✓Country-configurable identification fields, role-based teller and compliance access, audit history, employees, and expenses