Finance & Disbursements

Handle all your payments and financial operations

Process dividend payments, elder benefits, and all other payments to shareholders. Handle direct deposits, checks, and wire transfers. Manage your settlement trusts, reconcile bank accounts, and get real-time financial reporting.

Finance & Disbursements

Key Features

Comprehensive tools designed specifically for your ANCSA governance needs

Payment Processing

Send payments to shareholders through direct deposit, checks, or wire transfers. Verify bank accounts instantly and track all payments in real-time.

Multiple payment methods available
Instant bank account verification
Real-time payment tracking
Automatic bank reconciliation

Dividend & Benefit Distributions

Calculate and distribute quarterly dividends and elder benefits to shareholders with approval workflows and complete tracking.

Automatic dividend calculations
Approval workflows for distributions
Complete distribution tracking

Check Processing

Print professional checks with proper encoding, track delivery, and manage voids and replacements efficiently.

Professional check printing
Delivery tracking
Void management

Financial Reporting

Get real-time financial reports and analytics with dashboards that help you understand your financial position and compliance status.

Real-time financial dashboards
Compliance monitoring tools
Automated report generation

Platform Capabilities

Advanced features that power your operations

Process payments by direct deposit, check, and wire transfer
Instant bank account verification with Plaid
Professional check printing with proper encoding
Automatic bank reconciliation
Settlement trust fund management
Complete financial audit trails
Integration with accounting systems

Ready to get started with Finance & Disbursements?

See how this solution can transform your corporation's operations and ensure comprehensive governance.