Release readiness financial review
Pre-release check that new fee screens, payment rails, or balance widgets will post and disclose correctly before customers see them.
Fit
Use this when a release alters fee copy, interest display, transfer limits, FX markup logic, or a new bill-pay biller class inside the mobile banking application.
What we do
Auditors map each financial change to product approval documents, run scripted journeys in the release candidate, and compare expected postings with what finance expects in the general ledger mapping. Issues are logged with severity and a clear owner before the freeze date.
Next step
Share your release calendar and change list on the contact form, noting the target store submission date.