MSB CUSTOM SOLUTIONS
Custom software for money service businesses
An MSB’s software needs rarely fit a product catalogue: the remittance flow shaped like your corridors, the agent tooling shaped like your network, the compliance tooling shaped like your regulator. We build to that shape, with the judgement of a team that runs Interac, ACH/EFT and FINTRAC-oriented reporting data on its own platform.
What MSBs bring us
- Remittance flows. Corridor-specific send and receive products, integrated into the rails and partners you actually use.
- Agent tooling. Onboarding, transaction handling and settlement views for agent networks, with the controls an MSB’s agents genuinely need.
- Compliance-adjacent tooling. Monitoring workflows, case management, record-keeping and reporting surfaces that turn your policy into daily software.
- Operational tooling. The queues and dashboards between your team and your volume.
The Canadian stack, from experience
MSB software has a Canadian accent, Interac in the flows, ACH/EFT in the settlement, FINTRAC in the obligations, and we did not learn it from documentation: our platform runs it in production. When your custom build touches Canadian rails or reporting-shaped data, the domain knowledge is already in the room.
Custom build, or the platform?
If your MSB needs the whole operation, accounts, rails, monitoring, safeguarding, back office, commissioning it as custom software is the expensive path to what already exists. Custom work is for the software around your operation, or the product only your business needs. We sort which is which on the first call.
MSB custom solutions FAQ
We run our own remittance stack, can you extend it?
Do you understand FINTRAC’s expectations?
Can you build agent-network tooling?
When is the answer “use the platform instead”?
How do we start?
Software shaped like your MSB
Corridors, agents, obligations, bring the shape; we will build to it.