What is ACH Risk Manager?

ACH Risk Manager™ delivers cutting-edge solutions tailored to the unique needs of financial institutions for managing and regulating ACH operations.

The platform not only aggregates ACH data but also presents intuitive reports, allows for quick verification of submitted files, and includes customizable features that cater to the specific needs of originators.

Key highlights include:

+ Compliance Automation: Guarantees conformity with Nacha regulations, monitors return rates, and offers immediate access to comprehensive audit trails.

+ Advanced Risk Modeling: Utilizes AI technology to assess account risk levels, detect high-risk originators, and optimize liquidity management.

+ Rapid Implementation: Enables a functional rollout within a month, requiring minimal input from IT teams.

By leveraging these capabilities, financial organizations can significantly improve their operational productivity while proactively managing the risks linked to ACH transactions. Furthermore, the platform empowers institutions to adapt swiftly to changing regulatory environments and evolving market demands.

Pricing

Price Overview:
Custom

Integrations

No integrations listed.

Screenshots and Video

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Company Facts

Company Name:
Affirmative
Date Founded:
1998
Company Location:
United States
Company Website:
www.affirmativeusa.com

Product Details

Deployment
SaaS
Windows
Mac
Linux
Chromebook
On-Prem
Training Options
Documentation Hub
Online Training
Video Library
Support
Standard Support
Web-Based Support

Product Details

Target Company Sizes
Individual
1-10
11-50
51-200
201-500
501-1000
1001-5000
5001-10000
10001+
Target Organization Types
Mid Size Business
Small Business
Enterprise
Freelance
Nonprofit
Government
Startup
Supported Languages
English

ACH Risk Manager Categories and Features

Financial Risk Management Software

Compliance Management
Credit Risk Management
For Hedge Funds
Liquidity Analysis
Loan Portfolio Management
Market Risk Management
Operational Risk Management
Portfolio Management
Portfolio Modeling
Risk Analytics Benchmarks
Stress Tests
Value At Risk Calculation