GoldenOmega has been developing software for the lending,construction, non-profit, legal and nursing industries for over 25 years. Our product line of cutting edge, Windows based software for loan servicing, trust accounting, loan document preparation, investment pools and mechanic's liens coupled with our team's vast experience in these industries are a great asset to your company. GoldenOmega is dedicated to your company’s success.
Albridge Solutions Inc., an affiliate of Pershing LLC, is a leading provider of enterprise solutions, custom technology and business consulting services to institutional and retail financial organizations and independent registered investment advisors. Albridge Solutions draws upon its financial... Read More
Investment Accounting & Reporting Made to Order VestServe offers a comprehensive investment management platform to a great diversity of investment firms and offices. Many investment management firms have unique needs not well served by 'bread and butter' systems. VestServe’s software suite,... Read More
Financial Technology Laboratories, Inc. (FTLabs) is a software development company specializing in applications for the fixed income markets. Our developers have extensive experience in building a wide variety of bond market applications for the trading desk to the back office. We can develop... Read More
Loan document preparation software for fixed, step and ARM loans offering full automation, APR calculations, and flexibility for generating borrower, lender and closing documents for private money loans. Over 250 professional loan documents printed using plain paper. Includes all federal... Read more
Loan servicing software for single or multi-investor fractionalized, fixed, step, graduated payment, ARM, HELOCs, Commercial, Construction loans with multiple fundings. Complete built-In trust accounting with bank account reconciliation, escrow administration, loan servicing and trust fund... Read more
Trust fund management software offers full automation and flexibility, with complete record keeping and strict audit trail. It maintains subsidiary ledgers for each client with individual and total account balances. Built-in bank account reconciliation. Designed for brokers, foreclosure... Read more