If your team is still using cumbersome spreadsheets for investor accounting, you’re flirting with disaster. Flawed macros, transposed numbers, even small mistakes increase your risk. Integra INVESTOR eliminates those vulnerabilities by automating custodial reconciliation in a controlled system environment.
INVESTOR gives you complete control and visibility over investor accounting, reconciliation and reporting. Built for mortgage professionals by mortgage professionals, it’s the only end-to-end solution designed for the complex processes critical to servicing success.
Integra INVESTOR is a fully auditable, peer-reviewed SaaS solution that works in real time, just like you do. Integra INVESTOR gives your team:
A key driver of business success is consistency—in quality, service and results. Integra INVESTOR drives the process standardization you need to thrive:
A top-20 regional bank left Excel-based custodial reconciliation behind and achieved major performance improvements with Integra INVESTOR.
89% improvement in overall efficiency of custodial reconciliation
60% reduction in QA/QC time for submitted reconciliation—from 50 hours to fewer than 20 hours
64% reduction in training time for new employees—from 110 hours to 40 hours
Reduce the manually intensive and repetitive tasks of custodial reconciliation. Integra INVESTOR identifies the root cause of outages, so they don’t keep occurring month after month. Once identified, the system automatically tracks and ages each item until it is resolved.
Automatically combine and organize bank statement data with information from multiple departments, from cashiering to treasury, all in one clear summary. Easily handle payment clearing, disbursement clearing, wire/ACH clearing and other miscellaneous clearing. Simple-to-assign attributes let you wrangle all the sources for payment clearing reconciliation and bring meaning to batches and other data.
Reconcile and certify general ledger activity and clear exceptions in a workflow-enabled application that seamlessly integrates with various GL sources and core banking systems. Leverage loan-level data and reporting from your servicing platform to bring rich information into your general ledger reconciliation.
Link directly to financial institutions for bank statements and streamline bank account reconciliation. Integra INVESTOR’s banking and cashbook module brings connectivity, efficiency and control over book-to-bank reconciliation and bank statement certifications.
Process wire and ACH payments directly with your bank or interface with your treasury workstation while retaining loan-level details of manual payments and remittances. Remove the information gap between department-initiated EFT requests, approvals and settlement details.