
Financial Servicing
Financial servicing is critical to operational control, customer trust and regulatory confidence. OPAL provides the processes, oversight and specialist support needed to handle payments, reconciliations and regulated financial operations at scale.
How OPAL Delivers This Service
Combining outsourced administration with our own software platform, OPAL helps clients reduce manual intervention, strengthen control and scale service delivery across regulated financial products.

- Payment Processing
- Reconciliations
- Dealing Services
- ISA Manager
- Custody Management Services
- Regulatory Reporting

Payment Processing
We manage a wide range of payment activities across protection, bond, wealth and structured products, helping clients improve speed, accuracy and control.
- Premium collection and payment execution
- Claims, maturity and adviser payment handling
- Bacs and related payment support services

Reconciliations
Accurate reconciliation is essential to maintaining financial integrity. OPAL supports high-volume, controlled reconciliation activity backed by robust reporting and exception handling.
- Daily reconciliations and exception management
- Product sales and financial data reporting
- Audit-ready controls and operational transparency

Dealing Services
For investment and structured product environments, we support transaction handling, operational dealing activity and the processes needed to keep servicing efficient and compliant.
- Trade and transaction processing support
- Maturity and surrender related servicing activity
- Operational support for valuation and settlement workflows

ISA Manager
OPAL supports ISA-related administration and servicing activity, helping clients improve operational control while maintaining customer experience and compliance alignment.
- ISA transfers and associated servicing support
- Statements, reporting and customer communications
- Administration aligned to regulated product requirements

Custody Management Services
We help clients manage the operational relationships and servicing requirements associated with custody, deposit takers and related financial infrastructure.
- Custodian and deposit taker support
- Ongoing bank account management services
- CASS-aligned operational servicing and control

Regulatory Reporting
OPAL supports regulated reporting across insurance operations and structured products portfolios, helping clients maintain timely, accurate and auditable submissions.
- Insurance product and policy reporting support
- Structured product portfolio and lifecycle reporting
- HMRC, FCA and operational reporting evidence

