ICBS Retail

Completely user defined transactions to handle tellers and back office retail activities including current balances and checking accounts, savings accounts, time deposit, overdrafts , commercial bills, standing instructions, utility bills, cashiers / draft checks, remittances and transfers, etc.

  ICBS Core

Flexible and multiple interest calculation methods. Regulatory reports and data exchange with credit bureaus. Correspondent accounts management.

Batch processing including: Periodical closing, Reconciliation, Revaluation and Consolidation. Rich set of reports (Control, Statistics and MIS).

  ICBS Foreign Exchange & Money Market

Wholesale transactions: spot, forward and swap, certificates of deposits, loans and deposits (fixed and call notice) with related transfers.

  ICBS Capital Markets (Securities)

Front, middle and Back Office: Handling of Stocks, Bonds, Derivatives and Mutual Fund transactions, On-line interface with pricing systems.