Financial Analysis Tool

Financial Analysis Tool supports analysis and reporting of financial institutions’ product portfolio. It involves studying a portion of the portfolio for areas of interest by selecting a representative sample and analyzing a portion of that sample. The various probability sampling supported include Simple Random Sampling, Stratified Sampling, Systematic Sampling and Custom Sampling.

This tool supports popular financial institution product lines like:

Auto Loans

Mortgages

Assets

Contact us to see what we can do for you!