FISPAN
FISPAN partners with your bank to deliver embedded, automated ERP banking solutions for accounts payable, accounts receivable, bank feeds, and cash management. Eliminate error-prone manual processes and embrace secure, seamless ERP-to-bank connectivity.
Integrate your banking directly into leading ERP and accounting platforms, including NetSuite, Sage Intacct, Microsoft Dynamics 365 Business Central, Workday, QuickBooks, and Xero. Streamline AP workflows, initiate vendor payments, manage expense reimbursements, automate cash application, and send detailed remittance advice emails, all without leaving your system of record.
Access near real-time account balances and transactions across entities, initiate book transfers, and automate reconciliation with secure API connections. No file uploads. No bank statement formatting. Just reliable, scalable embedded ERP banking powered by FISPAN.
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Melio
Melio is an accounts payable tool built to simplify bill payments, boost workflow efficiency, and optimize cash flow for businesses of all sizes. To get started, try all of Melio's features free for 30 days!
Pay vendors online through bank transfers or credit/debit cards, even if they typically accept checks—Melio manages the manual work for you. Effortlessly integrate with QuickBooks and Xero to ensure your financial records stay current.
With Melio, pay by bank transfer or card to extend cash flow and earn rewards. Adding vendor or bill details is a breeze—input them manually, upload files, or take a photo of invoices. Schedule payments to align with your cash flow, and let Melio handle the rest. International vendor payments are made easy by paying in their local currency for products and services your business needs.
The Melio mobile app, available for iOS and Android, lets you monitor and manage payments anytime, giving you full control over your finances on the go.
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Aurum
Aurum Solutions is a cloud-based automated financial reconciliation platform designed to streamline and automate reconciliation processes so finance teams can match multiple transactions daily in seconds, integrate data from ERPs, banks, payment service providers, and accounting systems with hundreds of off-the-shelf connections, and eliminate manual matching and error-prone macros; it enables users to define custom matching rules, schedule automated reconciliations around the clock, and manage exceptions with full audit trails that track every action for compliance and reporting. It provides visual dashboards and custom reports that help finance leaders gain clear, real-time insights into cash positions, discrepancies, and performance, supports multi-currency and industry-specific use cases, including bank, PSP, client money, and journal entry reconciliation, and connects disparate sources via APIs or SFTP so teams spend less time on data preparation.
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