RTSIS is a secure, enterprise-grade platform designed to help Financial Service Providers (FSPs) streamline financial data integration and meet regulatory submission requirements with ease. Built for accuracy, control, and scalability, RTSIS facilitates seamless data exchange via APIs, backed by robust authentication, role-based approvals, and a dedicated sandbox for testing.
Whether it’s assets, liabilities, equities, or income statements—RTSIS simplifies your reporting process while ensuring compliance, traceability, and operational control.
These modules handle the submission of critical financial data. FSPs can report assets, liabilities, equities, off-balance sheet exposures, and income statements through structured, period-based APIs. Each module is aligned with financial reporting norms and ensures standardized, regulator-friendly output.
The secure API layer is protected by OAuth 2.0 authentication, allowing trusted access for automated job-based integrations. This ensures secure, encrypted communication between FSP systems and RTSIS.
A self-service interface that helps technical teams explore APIs, test endpoints, manage tokens, and monitor integration jobs. The portal simplifies onboarding for developers while maintaining complete control and visibility.
Built for non-technical users, the admin portal allows you to configure workflow rules, define document requirements, assign user roles, and manage product-specific validations. It also offers powerful analytics, compliance dashboards, and audit trails to maintain operational transparency.
This module enforces a dual-approval system for data submission. Role-based dashboards allow makers to submit records and checkers to approve them, ensuring a clear separation of duties, traceable approvals, and minimized errors.
Built to align with structured financial reporting standards from supervisory authorities.
OAuth 2.0-based authentication ensures secure and tokenized access.
The sandbox enables API validation without affecting live systems.
Modular API design allows scalable integration across financial data types.
Maker-checker flows, admin configuration, and audit logs ensure full compliance and traceability.
High availability and schema validation provide dependable, error-free performance.