Lending operations, fully accounted for
Fin Suite covers gold loan, business loan and general finance operations — appraisal, disbursement, interest accrual, collection, auction and closure — with the accounting entries posted as you work rather than reconstructed later.
Finance Management
Built for: Gold loan companies, NBFCs, chit and finance firms, and private lenders.
Modules
Gold loan & pledge
Ornament appraisal, net weight, purity, loan-to-value limits and secure packet tracking.
Business & personal loans
Application, documentation, sanction, disbursement and guarantor records.
Interest & EMI
Simple, compound, slab and reducing-balance schemes with automatic accrual.
Collection & receipts
Counter and field collection, part payments and instant printed receipts.
Overdue & notices
Ageing buckets, reminder SMS, statutory notice generation and auction workflow.
Cash & bank
Daily cash position, bank reconciliation and inter-branch fund transfer.
Accounting & audit
Vouchers, ledgers, trial balance, P&L and a complete audit trail on every entry.
Compliance reporting
KYC records, exposure reports and the statements your auditor and regulator ask for.
What changes after you switch
- Calculate interest identically at every branch, every time
- See total exposure and overdue position on one screen
- Track every pledged packet from receipt to release
- Generate notices on schedule instead of on memory
- Close the books monthly without rebuilding the data
Frequently asked questions
All Products
Not sure where to start?
Tell us what slows your business down today. We will tell you honestly whether software is the answer — and if it is, which part to fix first.
Other products
Textile Management
Inventory, billing and business management for textile businesses.
Explore ProductSee Fin Suite running on your own numbers
Book a walkthrough and we will demonstrate it with a sample of your actual data.