Our Products

We offer our clients cloud-based SaaS, hosted software or onsite server product modules for their chosen solution.

PRODUCTS


Mi-Lend

Description

Mi-Lend is an out of box solution that offers business processing rules and workflow solutions with some ability to tailor individual business requirements for clients in the lending market in any country. It provides a complete lending solution for the entire lending process from loan origination, loan underwriting or the back-end loan servicing function. It is a single platform process engine that automates, generates and reports on lending activities.

Clients

Clients include pay day lenders, mortgage originators or brokers, financial institutions like banks and credit unions to commercial lending, leasing and superannuation companies.

Functionality

Features

  • 24/7 access with digital workflow and workforce;
  • Broker origination portal;
  • Multiple user accounts;
  • Interface general ledger;
  • Asset registers;
  • Balance reconciliations and account movements;
  • Monitoring reports for rating agencies requirements;
  • Discharges, securities and insurance (including insurance notifications);
  • Configurable discharge system to apply to company policy/ products;
  • Full securities register and security packet tracking;
  • Multiple insurance policy and strata title support integrated with work flow;
  • Client communications and client account reporting;
  • Integration into other 3rd party systems and software;
  • Electronic funds transfers.
  • Communication via a smart mobile phone, tablet or by email anytime, from the client’s server and in real time to set levels of users.
  • Tracking of transactions under one portal point.
  • Ability to set security controls, such as reporting levels, exception reports and offer customised analytics designed for specific measurement tools.
  • Availability of the online loan software and web features subject to client’s assigned profile settings for their personnel.

Mi-Invest 1

Description

Mi-Invest provides a single software platform and process engine that automates, generates and reports reporting for different types of investments.

Clients

Clients include financial institutions such banks, credit unions, commercial lending, leasing and superannuation companies and others.

Functionality

Features

  • Multiple user accounts;
  • Interface to general ledger;
  • Asset registers;
  • Balance reconciliations and account movements;
  • Monitoring reports for rating agencies requirements;
  • Discharges, securities and insurance (including insurance notifications);
  • Configurable system to apply to company products;
  • Registry and asset tracking;
  • Multiple insurance policy integrated with work flow;
  • Client communications and client account reporting;
  • Integration into other 3rd party financials products including Xero and MYOB;
  • Electronic funds transfers.
  • Communication via a smart mobile phone, tablet or by email anytime, from the client’s server and in real time to set levels of users.
  • Review assets under one portal point to users to monitor and update.
  • Ability to set up, manage and report on any based on varying legal and tax structures.
  • Assistance to identify of the most efficient way to increase client processing and reporting needs.
  • Ability to set level controls, segregate assets and classes of assets, generate exception reports and offer customised analytics designed for specific measurement tools.

Mi-Structure

Description

Mi-Structure provides a single software platform that allows reporting and communications for all assets based on structure types and specialist assets (including non-financial assets) held indirectly or directly.

Clients

Clients include mortgage originators or brokers, financial institutions such as banks, credit unions, commercial lending, leasing and superannuation companies.

Functionality

Features

  • Interfaced general ledger;
  • Balance account movements;
  • Asset registers;
  • Client communications and client account reporting;
  • Workflow information, asset segregation and exception tracking reporting.
  • Integration to other 3rd party financials products including Xero and MYOB;
  • Securitisation module to create and view SPVs and tranches.
  • Communication via a smart mobile phone, tablet or by email anytime, from the client’s server and in real time to set levels of users;
  • Review assets under one portal point to users to monitor and update;
  • Assistance to identify of the most efficient way to increase client processing and reporting needs; and
  • Ability to set level controls, segregate assets and classes of assets, generate exception reports and offer customised analytics designed for specific measurement tools.

Mi-Loyalty

Description

Mi-Loyalty provides a single system for all rewards cards and incentive programs.

Clients

Clients include various types of financial institutions such as banks and credit unions, charities and other instrumentalities.

Functionality

Features

  • Client account reporting ;
  • Balance account movements;
  • Asset registers;
  • Client communications;
  • Document generation;
  • Workflow management;
  • Interest and penalty interest calculations.
  • Communication via a smart mobile phone, tablet or by email anytime, from the client’s server and in real time to set levels of users;
  • Review assets under one portal point to users to monitor and update;
  • Assistance to identify of the most efficient way to increase client processing and reporting needs; and
  • Ability to set level controls, segregate assets and classes of assets, generate exception reports and offer customised analytics designed for specific measurement tools.

Mi-Wealthchek 2

Description

Mi-Credit provides cloud and on site based software solutions for investments in all asset types, such as deposit products, listed investments, managed investment funds, derivatives, pooled products, loans, real property, unlisted assets, derivatives, insurance products, credit products and other specialist assets.

Clients

Clients include various types of financial institutions such as banks and credit unions, charities and other instrumentalities.

Functionality

Features

  • Interface to general ledgers;
  • Balance account movements;
  • Asset registers;
  • Client communications and client accounts reporting;
  • Include integration to other 3rd party financial products including Xero and MYOB.
  • Communication via a smart mobile phone, tablet or by email anytime, from the client’s server and in real time to set levels of users;
  • Review assets under one portal point to users to monitor and update;
  • Assistance to identify of the most efficient way to increase client processing and reporting needs; and
  • Ability to set level controls, segregate assets and classes of assets, generate exception reports and offer customised analytics designed for specific measurement tools.

Mi-Finpro

Description

Mi-Finpro provides cloud and on site based software solutions for investments in all asset types, such as deposit products, listed investments, managed investment funds, derivatives, pooled products, loans, real property, unlisted assets, derivatives, insurance products, credit products and other specialist assets.

Clients

Clients include financial institutions and asset managers.

Functionality

Features

  • Interfaced general ledger;
  • Balance account movements;
  • Asset registers;
  • Client communications and client accounts reporting; and
  • Include integration to other 3rd party financial products including Xero and MYOB.
  • Communication via a smart mobile phone, tablet or by email anytime, from the client’s server and in real time to set levels of users;
  • Review assets under one portal point to users to monitor and update;
  • Assistance to identify of the most efficient way to increase client processing and reporting needs; and
  • Ability to set level controls, segregate assets and classes of assets, generate exception reports and offer customised analytics designed for specific measurement tools.

Mi-Archive

Description

Mi-Archive provides solutions for the storage and retrieval of data and information (including collections, receivables and/or payables) in a format designated by the client.

Clients

Clients include clients of other product modules including asset custodian, leasing companies, mining companies, insolvency groups and collections companies.

Functionality

Features

  • Recording ledger system;
  • Automatic storage from action;
  • Asset registers;
  • Client communications and client accounts reporting; and
  • Level set protocols for use and access.
  • Communication via a smart mobile phone, tablet or by email anytime, from the client’s server and in real time to set levels of users;
  • Review financial data and outputs under one portal 24/7;
  • Assistance to identify of the most efficient way to increase client processing and reporting needs; and
  • Ability to set level controls, segregate assets and classes of assets, generate exception reports and offer customised analytics designed for specific measurement tools.

1. Mi-Invest module is not available in Australia due to AFSL licencing requirements.

2. Mi-Wealthchek module is not available in Australia due to AFSL licencing requirements, with the exception of non-financial assets in a Mi-Wealthchek portfolio.