No more stuffing envelopes and manually reconciling checks. Stay compliant with the requirements for account closure and customer refunds, automatically.
Issue instant payments to customers nationwide with one click
Save time by replacing cashier's checks with an integrated solution for sending, tracking, and reconciling batch payments. Eisen provides a simple option to send and manage mass payouts on a moment's notice.
Track the status of every payment with detailed reporting
Automate the daily reconciliation required to stay on top of customer account closures during the critical regulatory timeline. Eisen provides daily status updates, export functionality, and detailed analysis to keep you informed.
Rollover any unclaimed payments directly into Escheatment Hub
Monitor payments for issues and protect yourself from unclaimed payments violating state escheatment timelines. Eisen provides integrated support for any unclaimed payments by seamlessly connecting Disbursement Hub and Escheatment Hub.
Upload a batch of disbursements, create a mail merge cover letter, fund the amount, and hit send.
See the status of every payment with daily updates and extensive reporting options.
View any payment issues and select from one of the streamlined options to resolve the problem.