GAIN EFFICIENCY
Dynamic, cloud-based user interface and integrated market-based models minimize cumbersome manual processes for budgeting, profitability planning, financial statement simulations.
IMPROVE FORECASTING
Strategies and reinvestments based on market information and comprehensive account level data. THC model/research provides rate forecast.
CASHFLOW PROJECTIONS
Institution-specific assumptions for betas, decays, prepayments, reinvestment rates, and amortizations, ensuring consistency with ALCO analysis. Drill down process offers transparency.
Superior
Intelligence
Intelligence
Incorporate interest rate, credit, and liquidity risk testing to ensure your plan is compliant with board-approved policy limits and performance targets.
Superior
Analytics
Analytics
Integrated cashflows based on capital market option exercise rules; multiple scenario analytics; incorporated credit model with seamless model assumption integration.
Superior
Results
Results
The state-of-the- art financial models determine life of loan expected losses relating performance and risk for quality, objective decision making.

Flexible and scalable
solutions to meet your
performance needs
solutions to meet your
performance needs
TRENDING FEATURES
Ensure IRR Compliance.
Test your budget for IRR compliance before it's presented.
Compare multiple strategies.
Our Trend Dashboard has the information you need.
Budget at the cost center or branch level.
Data files support single or multiple budget breakouts.
Use institution-specific model assumptions and growth options.
Include cash-flow runoff in new volume projections.
Automate monthly variance analysis reports.
Efficiently prepare for board presentations.
Customize reinvestments.
Set reinvestment rates for each balance sheet item.
Simulate yield curves.
Integrate your rate projections into the strategic planning process.
Determine the impact of a new product offering.
Use the Growth Plan to link new items to your balance sheet.