Provide end to end transaction processing support in domains like


Retail Asset Operations - Our Banking process support for Retail Asset Operations involves end to end processing starting with Quality Audit on Loan documents, PDC Management system, Loan accounting and proofing, Loan closures, collections monitoring and a robust operations MIS


Accounts payable Processing - This model involves end to end process support on pay checks to suppliers, reimbursements to employees of our client, Payable Accounting Services, Statutory Compliance and payable MIS.


Securities Accounting - Process Support in the form of IPO process management, Effecting transfer of holdings, transmissions, Query desk for shareholder grievances, Statutory Compliance, Accounting for securities in the depository mode.


Cash Management Services - Our high-speed cheque processing and encoding system ensures that banks and retail businesses enjoy the benefits of a better float time. We also customise this service through interaction with the bank for faster pick-ups, deliveries and clearance. In addition to this, we verify, cross-check and provide a complete listing of all transactions undertaken by us.


Emerging domains at GNSA



  • Operations involves end to end processing starting from insurance booking, processing claims, pre-closure of insurance, settlement of maturity…..