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Average Ratings 0 Ratings

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ease
features
design
support

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Write a Review

Description

DocFinance is now a comprehensive Fintech HUB that offers its clients the advantages of seamless integration between various technological services and our treasury management and commercial credit management software. This application serves as a solution for managing commercial credit risk while also automating the collection process effectively. By incorporating key Business Information providers, it features a company rating calculation engine designed to enhance customer insight. Furthermore, this software project advances corporate treasury management by integrating Corporate Banking services, ensuring a holistic approach to financial oversight. The incorporation of Remote Banking services into the company's information system highlights its thoroughness and adaptability. The AFEXDirect platform stands out as a robust and easy-to-use tool that is designed to be intuitive and accessible. Clients enjoy round-the-clock access to the platform, with real-time updates and changes available at any hour of the day, ensuring they remain informed and empowered in their financial dealings. This commitment to accessibility and user experience reinforces the platform's role as an indispensable asset for modern financial management.

Description

RiskAvert serves as a comprehensive risk management platform designed for financial institutions to efficiently collect and reconcile data, compute, aggregate, and report on various regulatory risks including credit, market, operational, and concentration risk within a seamlessly integrated yet flexible framework. It provides complete methodologies for assessing operational, market, and credit risks, enabling banks to transition from a standardized approach to Internal Ratings-Based (IRB) methodologies. Additionally, the platform features capabilities for XBRL validation and conversion across various taxonomies. Its extensive cube-based Management Information System (MIS) reporting apparatus fully accommodates market disclosure obligations, while a thorough stress-testing framework and detailed concentration risk measures ensure compliance during supervisory reviews. Moreover, RiskAvert guarantees adherence to the EU Capital Requirements Regulation (EU-CRR) and Capital Requirements Directive (CRD), including anticipated updates and modifications. Furthermore, it facilitates the calculation of credit risk capital requirements through both standardized and IRB methodologies, catering to the diverse needs of financial institutions.

API Access

Has API No 

API Access

Has API No 

Screenshots View All

Screenshots View All

Integrations

No details available.

Integrations

No details available.

Pricing Details

No price information available.
Free Trial No 
Free Version No 

Pricing Details

No price information available.
Free Trial No 
Free Version No 

Deployment

Web-Based Yes 
On-Premises No 
iPhone App No 
iPad App No 
Android App No 
Windows Yes 
Mac No 
Linux No 
Chromebook No 

Deployment

Web-Based Yes 
On-Premises No 
iPhone App No 
iPad App No 
Android App No 
Windows No 
Mac No 
Linux No 
Chromebook No 

Customer Support

Business Hours Yes 
Live Rep (24/7) No 
Online Support Yes 

Customer Support

Business Hours Yes 
Live Rep (24/7) No 
Online Support Yes 

Types of Training

Training Docs Yes 
Webinars No 
Live Training (Online) No 
In Person Yes 

Types of Training

Training Docs Yes 
Webinars Yes 
Live Training (Online) Yes 
In Person Yes 

Vendor Details

Company Name

DocFinance

Founded

1988

Country

Italy

Website

www.docfinance.net/en

Vendor Details

Company Name

Profile Software

Country

Greece

Website

www.profilesw.com/en/risk-avert.php

Product Features

Treasury

Cash Management Yes 
Debt Management Yes 
For Government No 
For Hedge Funds No 
Forecasting Yes 
Liquidity Management Yes 
Payment Management Yes 
Risk Management Yes 

Product Features

Financial Risk Management

Compliance Management No 
Credit Risk Management No 
For Hedge Funds No 
Liquidity Analysis No 
Loan Portfolio Management No 
Market Risk Management No 
Operational Risk Management No 
Portfolio Management No 
Portfolio Modeling No 
Risk Analytics Benchmarks No 
Stress Tests No 
Value At Risk Calculation No 

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