Insurance, tracking and facility registers with ledger reconciliation and a Risk-scoped payment voucher chain.

Dashboard — renewals, ledger balances, live drill-down
A standalone risk-asset management system for a CBN-regulated finance house’s Risk department, restricted to Risk staff and the overall System Administrator: insurance and tracking registers with renewal countdowns, bulk CSV register/ledger uploads, source-ledger reconciliation against six payable accounts, a drill-down dashboard, a full Reports Center (every register, ledger, voucher and audit report exportable as CSV or XLSX), and a combined Payment Voucher engine shared with a general company PV module — one login reaches both doors.