Who is it for?
Money-transfer offices, exchange businesses, multi-branch financial operations and small-to-medium remittance companies.
A financial operations platform for remittances, commissions, currency exchange, cashboxes, deposits, withdrawals, customer accounts and office settlements.
WEBNSS Hawala is a money-transfer and financial-management platform designed for remittance businesses and multi-office operations. It supports multiple offices and currencies and manages the remittance lifecycle from creation through payout. The platform provides configurable commission rules and exchange rates, currency-exchange transactions, deposits, withdrawals, cashboxes and an auditable cash ledger. Customer and party accounts maintain debit, credit and running balances, while inter-office obligations identify which office owes another and support partial or full settlements. User management, role-based permissions, office-level access control, audit logs, receipts and reporting are integrated into the same platform.
Money-transfer offices, exchange businesses, multi-branch financial operations and small-to-medium remittance companies.
Improve financial accuracy, track office and currency balances, monitor receivables and obligations, accelerate transfers, control commission and exchange rates, and provide detailed audit and reporting capabilities.
Manage inter-office money transfers with sender, receiver, commission, lifecycle status and receipts.
Operate multiple offices with office switching and office-scoped data and permissions.
Manage buy and sell exchange rates and post currency-exchange transactions.
Configure fixed or percentage remittance fees by office, currency and amount range.
Record cash deposits, withdrawals, income, expenses and cashbox transactions.
Track cashbox balances by currency with sessions and immutable IN/OUT ledger entries.
Maintain currency-specific customer and party accounts with debit, credit and running balances.
Track who owes whom between offices and manage full or partial settlements.
Manage users, roles, granular permissions and office-based access control.
Record important actions with user, office and timestamp for traceability.
Generate controlled document numbers and receipts for transfers, exchange, cash and settlements.
Office and cashbox balances, commission reports, party statements and outstanding obligations.


