Bank on Us for Specialized Commercial Accounts

Launch high-volume checking, specialized escrow, and integrated treasury accounts with comprehensive transaction processing and reporting capabilities.

Business Depo Master

Modules used in this solution

Core Modules
Engagement Modules

Cash

Manages the lifecycle of fiat currency bank accounts, including creation, administration, and real-time querying.

E.g. Query an end-customer’s balance or seamlessly add a new beneficiary to an account.

Core Modules

Payments

Connects directly with payment rails to facilitate the sending, receiving, and settlement of funds via the central bank.

E.g. Execute instant payments on behalf of a customer during a point-of-sale purchase.

Core Modules

Ledger

The foundational double-entry bookkeeping system that provides an immutable record for all modules.

E.g. Maintain a precise record of customer reward points or loyalty balances.

Core Modules

Compliance

Defines and automates regulatory journeys (KYC/AML) to ensure compliance with international standards.

E.g. Deploy workflows to verify identities during onboarding and monitor ongoing activity.

Core Modules

Risk

Provides continuous evaluation of user risk profiles and robust transaction screening/monitoring.

E.g. Automatically flag an account as "medium-risk" based on demographic or employment changes.

Core Modules

Profile

Centralizes identity data management for institutional customers and their underlying end-customers.

E.g. Securely store and update primary contact info and KYC metadata for a global user base.

Core Modules

Reports

Generates region-specific regulatory filings and bespoke internal reports for commercial intelligence.

E.g. Generate a periodic interest rate gap report for automated submission to a central bank.

Core Modules

Audit

Provides a comprehensive audit trail by recording every request or transaction flowing through the Core.

E.g. Pull a granular history of API calls for a specific account during a security review.

Core Modules

Case Management

A dedicated interface for creating, assigning, and resolving operational cases (e.g., manual flags).

E.g. Route a name-screening flag to a compliance analyst for a final "Approve/Decline" decision.

Core Modules

KMS

Houses all private keys and supports robust column-based encryption to protect sensitive data at rest.

E.g. Ensure PII is encrypted and accessible only by authorized internal services.

Core Modules

Notification

The communication gateway between the Core and customers/third-party providers via webhooks.

E.g. Trigger a transaction webhook to a third-party partner system.

Core Modules

Business

Supports corporate/SME requirements like entity accounts, payroll dispersal, and supply chain payments.

E.g. Enable a business owner to execute bulk payroll transfers via a dedicated corporate portal.

Engagement Modules

Org

Centralizes high-level organizational settings that govern how the platform operates for a specific client.

E.g. Set the default domestic payment rail (e.g., FAST or ACH) for all outgoing payouts.

Engagement Modules

Profile

Manages user-specific preferences and fine-grained settings at the individual end-customer level.

E.g. Empower an end-customer to set and adjust their own daily card spending limits.

Engagement Modules

Reports

Generates engagement-layer filings and bespoke reports for operational health and user insights.

E.g. Generate a report on user engagement levels for a specific demographic.

Engagement Modules

Audit

Records every request or interaction that passes specifically through the engagement layers.

E.g. Review the history of user-initiated setting changes to troubleshoot a support query.

Engagement Modules

Case Management

An operational workflow tool for managing engagement-specific tasks and support tickets.

E.g. Raise a manual review case for a suspicious login attempt via the user portal.

Engagement Modules

KMS

Security module for the engagement layer, housing keys for secure data encryption of user interactions.

E.g. Protect sensitive user-facing data independently of the back-end core encryption.

Engagement Modules

Notification

Primary communication gateway for dispatching SMS, Email, or Push alerts to end-customers.

E.g. Dispatch a real-time push notification to an end-user regarding a large transaction.

Engagement Modules

The Modular Foundation for Service Delivery

Access to fully compliant, modular, core banking services, allowing institutions to launch products rapidly without managing complex backend infrastructure.

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High-Volume Transaction Processing

Ensure reliable, real-time handling of large volumes of daily credits and debits essential for active commercial operations and rapid scaling.

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Multi-User Access Control

Configure complex access and authorization hierarchies, allowing businesses to define specific user roles and spending limits for corporate accounts.

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Integrated Receivables & Payables

Offer automated reconciliation of incoming payments and streamlined bulk disbursement services directly integrated with the business deposit accounts.

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Advanced Fraud Monitoring (ACH/Wire)

Implement real-time monitoring and authorization rules for high-risk corporate payments, including ACH and wire transfers, to mitigate fraud loss.

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Multi-Factor Authorization (MFA)

Enforce strong authentication protocols and mandate multi-factor authorization for high-value transactions and changes to account settings.

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Corporate Resolution Management

Simplify the digital management and verification of corporate resolutions and signatory rules during account opening and maintenance.

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Customized Sweeping & Liquidity

Configure automated sweep accounts and pooling structures to optimize interest earnings and manage liquidity across a business's multiple operating accounts.

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Specialized Account Types (Escrow)

Easily manage segregated and specialized deposit accounts, such as escrow and IOLTA (Interest on Lawyers Trust Account), with automated compliance features.

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Integrated ERP and Accounting Feeds

Provide secure, direct data feeds (APIs or SFTP) to corporate enterprise resource planning (ERP) systems and accounting software for streamlined reconciliation.

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