Reconciliation & Control
Class Action and Settlement Administration Services
Experience thatís Unmatched In a Class
of its Own
Timely, efficient cash and position control.
Boston Financial's financial control division uses highly automated reconciliation and control technology ensuring timely reporting of cash and share positions. We have the ability to support multiple trading deadlines and interface with numerous custodian banks to provide intra-day cash availability. In addition, the team supports DDA reconciliation, dividend and commission payments, wire processing and several other key control tasks. This team also has experience managing large, complex conversion events. Each service is fine tuned to accommodate unique business needs. Special emphasis is placed on risk management, fraud detection and resolution of reconciliation exception items.