VPAS® Cash Management

VPAS® Cash Management provides cash suspense management for all inbound cash and cash disbursements. The system uses a BPM component to automate processing of inbound cash deposit transactions (EFT, lockbox, credit card, etc.) that are in good order, and substantially automates transactions that are not in good order. The system provides reconciliation tools for mapping cash deposits to policy remittance transactions, such as list bill / payroll deduction transactions.