Developer & Operations Gateway
Central navigation for CADECO administration, institutional management, financial operations, compliance, assurance, customer-channel supervision and technical operations. Existing certified workspaces remain authoritative.
Platform Administration
Admin Console
Financial configuration authority plus controlled platform configuration. Security and access administration remain segregated.
Developer / Technical
API contracts, OpenAPI documentation and technical inspection. Swagger remains a technical tool, not an administrative console.
Security & Access
Headquarters, branches, staff, roles, permissions and authorization-management controls.
Monitoring & Incident Center
Consolidated platform health, incidents, service availability, processing alerts and technical escalation.
Institution Management
HQ / Management Console
Existing consolidated internal banking console. Operational access remains scoped by staff identity, role and organization unit.
External Users Chief
Management workspace for Individuals, Merchants, Agents and Institutions. Customer banking itself already exists.
Support Chief
Support cases, customer complaints, escalations and service assistance without financial or ledger authority.
Finance / Accounting
Financial reporting, statements, ledger candidates and institutional accounting evidence.
Financial Operations
Operations Console
Consolidated transactions, cash, approvals, operations, compliance, treasury and business-day workspaces.
Treasury & Liquidity
Currency positions, liquidity policies, forecasts, alerts and treasury controls.
Settlement
External settlement, rail profiles, clearing simulation, settlement instructions and exceptions.
Reconciliation Chief
Reconciliation execution and exception controls already exist in settlement. Dedicated Chief workspace is pending.
Approval Center
Unified approvals and exception handling while preserving maker/checker separation.
Transaction Operations
Existing operational transaction workspace for controlled banking transaction processing.
Financial Execution
Existing transfer, payment, fee, tax, limits and controlled reversal environment.
Business Day / EOD
Business date, EOD/BOD, accounting close and temporal posting controls.
Control & Assurance
Compliance Chief
AML/CFT, transaction monitoring, investigation cases and compliance controls.
KYC Review
Existing customer due-diligence and controlled KYC review workspace.
Risk Chief
Operational, fraud, transaction, liquidity and institutional risk supervision.
Auditor Chief
Dedicated read-only Chief console is pending. Existing operational audit evidence remains preserved.