An automated Early Pay-In operations platform that identifies client sell obligations, initiates the eligible securities workflow, tracks depository and clearing status, and releases usable limits when the accepted EPI benefit is available.
Specification
Trade date · live
Bring every eligible client sell trade into one operational queue with security, quantity, value and EPI status visible.
Sell records
184
Eligible value
₹1.84 Cr
Client limits updated
₹1.42 Cr
Issues
07
Move eligible sell trades from obligation detection through Early Pay-In acceptance, benefit release, reconciliation and exception handling.
Capability · 01 / 04
Bring every eligible client sell trade into one operational queue with security, quantity, value and EPI status visible.
Automate eligible client sell obligations while keeping every EPI instruction, benefit and exception visible to operations.
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