Polygonal incorporates a full accounting and financial module.
Transactions are posted automatically from the policy records to accounts and Broker ledgers. The system also provides advanced reconciliation facilities, with ledger statements produced on a periodic basis and also on request.
A full history enquiry is available on any paid items to view past reconciliation's and eliminate the need to retain hard copies. Full audit trail enquiries are provided at every level of the system.
The cash module allows input and automatic posting to ledgers and bank accounts with a real time balance enquiry.
Supports Bureau settlement messages. Exports to external General Ledger package, if required. Principle-to-Principle Accounting along with the handling of Communications, Liquidations, Schemes of Arrangement and IBNR input provide comprehensive accounting control.
- Underwriting Including Reinsurance
- Claims
- Transactions
- Accounting
- Financial & Regulatory Reporting
- Document & Workflow Management
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