Industries We Serve

Built for Every Layer of Financial Services

Financial institutions, distribution networks, and operations teams - we build platforms that fit where financial work actually happens.

BanksNBFCsMF DistributorsBrokersWealth FirmsIFAs & RMsBack OfficesCompliance Teams

8+

Industry Segments

20+ Yrs

Domain Experience

BSE & NSE

Exchange Integrations

End-to-End

Platform Coverage

Who We Work With

Built for Every Layer of Financial Services

From institutional platforms to distribution networks and back-office operations — our technology fits where financial work actually happens.

institutional

Banks

Commercial, Co-operative & Scheduled Banks

Digital distribution journeys, transaction workflows, and branch-led product operations for regulated banking institutions.

  • Mutual Fund & IPO distribution portals
  • Branch and RM-led transaction flows
  • Customer onboarding and KYC integration
  • Back-office reconciliation and MIS
BSE StAR MF 2.0IPO BiddingKYCBranch Ops
institutional

Financial Institutions

NBFCs & Regulated Financial Entities

Secure workflows, exchange integrations, partner operations, and compliance-ready process visibility for non-banking financial entities.

  • Regulated product distribution workflows
  • Partner network and sub-broker management
  • Compliance dashboards and audit trails
  • Revenue tracking and payout automation
NBFCCompliancePartner OpsAudit Trails
institutional

Brokerage & Distribution Platforms

Multi-Product Distribution Intermediaries

Exchange-based bidding, multi-product transaction flows, and partner reporting for brokers and distribution intermediaries.

  • IPO, NCD, Bonds, FD & Insurance transactions
  • BSE & NSE exchange bidding (ASBA / UPI)
  • Partner-led distribution scale
  • Product-level performance reporting
IPONCD / BondsASBA / UPIPartner Reporting
distribution

Mutual Fund Distributors

ARN-Registered Distributors & IFAs

BSE StAR MF 2.0, NSE MF transactions, RTA data feeds, reconciliation, and revenue tracking for MF distribution businesses.

  • BSE StAR MF 2.0 & NSE MF Invest integration
  • SIP, STP, SWP and lump sum transaction lifecycle
  • RTA data import and reconciliation
  • Distributor commission and payout tracking
BSE StAR MF 2.0NSE MF InvestRTA SyncBrokerage
distribution

Advisors & RM Networks

RIAs, RMs & Advisor Networks

Client 360 views, business dashboards, hierarchy access controls, and relationship-led servicing for advisor and RM organizations.

  • Client portfolio and holdings view
  • RM and advisor business dashboards
  • Branch, region and national hierarchy access
  • SIP, transaction and performance tracking
Client 360RM DashboardsHierarchy AccessBusiness Reports
distribution

Wealth Management Firms

PMS, Family Offices & Wealth Advisors

Multi-asset portfolio tracking, PMS/AIF distribution, valuations, and advisor dashboards for wealth management professionals.

  • Multi-asset consolidated portfolio view
  • PMS and AIF distribution workflows
  • XIRR, capital gains and performance analytics
  • Family office and high-net-worth client servicing
PMS / AIFMulti-AssetXIRR AnalyticsCapital Gains
operations

Investment Back Offices

Operations & Reconciliation Teams

RTA imports, exchange reconciliation, commission projection, revenue MIS, and exception control for investment operations teams.

  • Daily reconciliation vs BSE, NSE, RTA & gateways
  • Exception monitoring and alert management
  • Brokerage calculation and payout processing
  • Transaction, holdings, AUM and revenue MIS
ReconciliationMIS ReportsException AlertsPayout
operations

Finance & Compliance Teams

Finance, Compliance & MIS Departments

Configurable reporting, audit-ready workflows, and compliance visibility for finance heads and compliance officers.

  • Custom MIS and management reporting
  • Regulatory compliance dashboards
  • Revenue and cost centre visibility
  • Audit trail and access logs
Custom MISComplianceRevenue ReportingAudit Trail

Don't see your industry?

We work across the financial services landscape. Talk to our team and we'll assess how our platforms can fit your specific workflow.

Why Choose Us

Why Choose Arth Thec Solution

We bring domain expertise, proven technology patterns, and a deep understanding of how financial institutions operate, not generic software thinking.

20+

Years Experience

Mutual Funds

Core Domains

Enterprise

Grade Design

Domain-led financial technology experience
BSE StAR MF 2.0 API-led MF workflow expertise
End-to-end distribution product platform experience
Deep understanding of investment operations
Scalable and secure layered architecture
Customizable workflows for institution-specific needs
Real-time dashboards and operational reporting
Integration-ready APIs for BSE, NSE, RTA, and payment systems
Back-office automation and reconciliation capability
Built for compliance, control, and business growth