Student finance
Manage fee structures, invoices, manual payments, allocations, receipts, reconciliation, aging, and statements.
Included operational depth
- Payers, scholarships, installments, and ledgers
- Cash, bank, cheque, reversal, and refund controls
- Receipts, dunning, aging, and accounting exports
Controlled rollout
Capabilities are enabled by tenant contract and entitlement. Permissions, tenant isolation, audit evidence, quotas, migration scope, and acceptance criteria remain explicit.