Finance & Accounting Vendors for Credit Unions
Finance and accounting vendors serve the credit union back office across audit and assurance, tax, investment and balance-sheet advisory, asset-liability management, and tools that streamline the month-end close and reconciliations. These partners help finance teams strengthen controls, manage liquidity and investments, and produce reporting that satisfies examiners and the board. When choosing a firm, look for direct credit union experience, fluency with NCUA call reports and GAAP for cooperatives, knowledge of CECL and interest-rate-risk requirements, and a service model that scales to your asset size without overwhelming a lean accounting department.
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Subcategories: Accounts Payable (1) · ALM (7) · Audit (4) · Institutional Insurance (1) · Institutional Investments (6) · Non-Interest Income (2)
| Vendor | Location | Client CUs | Rating | Reviews |
|---|---|---|---|---|
| No credit union has reviewed a vendor in this category yet. | ||||