Granville Associates Business Intelligence solutions use the same generic banking data model and architecture and provide the same rich Information Layer of the bank's business data.
This Information Layer provides many features:
- Comprehensive Banking Information is provided, with banking static and transaction data available out of the box. This information is up-to-date and fully reconciled.
- Default Views are provided for all this data. This ensures the information is instantly usable, enabling fast web-based analysis and modelling.
- Intuitive User Interface provides the latest intuitive, sophisticated tools to view the vast amount of banking data and to perform quick, sophisticated analysis to help business decisions.
- Multiple data sources - transactional and reference data is extracted to create a reconciled source of banking information. Packaged ETL (Extract, Transform & Load) processes (Granville 'Adaptors') have been created to import data from core banking systems (Midas & Midas Plus) and trade finance systems (Trade Innovation). With Business Intelligence Factory, data from any other system can also be imported. Additional systems currently linked to Granville products at clients include Eximbills (trade finance), Aqua (paments) and banks' bespoke systems.
- Additional applications are provided for specific business purposes e.g. Nostro Projections, Financial Reporting etc.
- Quick Delivery delivered in 2-3 months which allows banks to achieve immediate benefits.
- Reconciled - All transactions and accounts are fully reconciled each day which helps ensure that all data has been extracted accurately.
- Security - All information can be secured to meet bank's requirements e.g. certain information could be made available to all staff while other information could be restricted to groups of users or individuals. Security can even be applied to field level within any view.