HDB Co‑Funded Program Management
Integrated information system meeting HDB/EAT specifications (Web Services, workflows).
- Data collection
- Action‑specific checks per HDB rules
- Additional internal validations
- Parameterization/constraints per selected action
- Data submission & response handling
- Integration with bank back‑office systems
Indicative programs: TEPIX, Exoikonomo, Microcredit, “Spiti Mou”.
RRF Program Management
Covers RRF specifications (Web Services, workflows) with full automation.
- Data collection
- Ιnvestment pillar‑specific checks per RRF rules
- Additional internal validations
- Parameterization/constraints per investment pillar
- Data submission & response handling
- Integration with back‑office systems
Invoice Reconciliation
Purpose‑built for organizations with high volumes of documents and counterparties. Matches and validates invoices using data from customers, debtors, and third‑party systems. Reconciliation of accounting records, back-office entries, and account ledgers.
Ideal for systematic invoice agreement with full traceability and transparency.
Payment Credits Reconciliation
Automates recognition and matching of receivables upon receipt of debtor payments.
Reduces posting time through smart matching mechanisms and automation.
Bank Statement (Extrait) Reconciliation
Aligns an organization’s financial movements with bank‑issued statements (extrait).
Automated comparison between the accounting system and bank statements ensuring reliability, accuracy, and full auditability.
Correspondent Accounts Reconciliation
Reconciles movements between the core banking system and data received from correspondent banks.
Based on IRS (Integrated Reconciliation System), fully adaptable to each bank’s reconciliation processes.
BANCAPP (Tiresias)
System compliant with the BANCAPP operational regulation by Tiresias (v1.2).
Ensures secure, interoperable data exchange among the Bank, AADE, and the G‑Cloud.
AnaCredit & CCR (Bank of Greece)
Supports compliance with AnaCredit & CCR regulations of the Bank of Greece.
Manages granular credit data, automates monthly submissions, and provides secure integration with complete audit trails.
Pothen Esches (AADE)
Connects to AADE’s “Pothen Esches” system and the Interoperability Center (KED).
Secure retrieval and provision of Statements of Assets (DPK) with full compliance and transparency.