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Our payments project management experience

Large Canadian Bank – Cheque Image Capture – Re-baseline and recovery

Tramore Group was engaged to re-baseline a image cheque processing program implement the new baseline program. Scope included both internal digital channel deployments and outsourced capture and settlement engines. The program was rebaselined and began delivering material working functionality with three quarters. The stakeholder group included internal functional units, business units, corporate support areas and two outsourcers.

Large Canadian Bank – Payments

Tramore group was engaged to provide strategic advice on a very large cross-border payments initiative. We continued to provide advice for a period lasting just over three years.

Large Canadian Payment Processing Outsourcer – Digitization

Tramore Group was engaged to review an in-place digitization program and to make recommendations on program improvements. After a number of working sessions, Tramore Group provided implementation assistance for some of the more challenging workstreams.

Large Canadian Bank – Cheque Image Processing

Tramore Group managed the program to implement image cheque processing including the implementation of a new payments hub. The scope included developing the requirements, implementing cheque image capture, inter-bank exchange & settlement and implementing the ATM, Branch and Commercial Customer Deposit channels. Day 2 processing was also in scope. Over 50 interfaces to new and existing systems had to be built and tested. Stakeholders included business units, functional units, corporate support areas and three significant vendor partners.

Large Canadian Bank – Image Cheque Processing – Outsourcing

Tramore Group managed a program to digitize the cheque payments system and outsource clearing and settlement functions to a third party. Program scope included Day 1 and Day 2 processing together with implementing four digital channels – mobile, commercial capture, branch and ABM.

Large Canadian Bank – Day 2 Processing

Group managed the implementation of Day 2 Processing including exception processing, adjustments and return item processing. The program separated work streams into incoming and outgoing items. Significant process redesign was required to implement the target state.

Large Canadian Bank – Digitization (cheque image Day 1)

Tramore Group managed the program to implement image cheque processing. The program budget exceeded $100MM. The scope included developing the requirements and Target Operating Model. Sub-programs and work streams included cheque image capture, inter-bank exchange & settlement and implementing the ATM, Branch and Commercial Customer Deposit channels.

Large Canadian Direct Clearer – Digitization Strategy

Tramore Group was engaged provide advice on implementing digital cheque clearing systems. A number of workshops were conducted on-site with a broad group of stakeholders. Our subsequent reports on implementation considerations were accepted and successfully implemented.

Large Canadian Bank – Digitization

Tramore Group was engaged to remediate a cheque imaging initiative within a large Canadian bank. The program team evaluated the current state of the initiative, the organizational structure, and the governance and team structures in order to reset and restructure the program. The remediation plan included reductions in scope, timeline and cost. Upon successfully delivering for three quarters, program management was transitioned to an internal team.