Pega Client Lifecycle Management 731 Product Overview
Pega Client Lifecycle Management 731 Product Overview
Pega Client Lifecycle Management 731 Product Overview
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This Pega® Client Lifecycle Management for Financial Services Product Overview describes the
default features and benefits, cases, data model, and various preconfigured roles and portals
available in Pega Client Lifecycle Management for Financial Services.
The Pega Client Lifecycle Management for Financial Services solution consists of a layer of
common components that are applicable for onboarding activities across all market segments of
the Financial Services industry. These common components form journeys for different types of
customers, such as individuals or organizations. Pega has customized the application to meet
the specific needs of both Corporate and Investment Banking and Retail Banking markets
segments. Retail Banking may be referred to as Consumer Banking or Personal Banking,
depending on the geographic region in which they operate. The Pega Client Lifecycle
Management for Financial Services solution currently supports specialized customer journeys
for Corporate and Investment Banking (CIB) and Retail Banking segments. The following
diagram illustrates how the features of the Pega applications that Pega bundles together into
Pega Client Lifecycle Management for Financial Services interact to provide organizations with
a robust set of rules, analytics, and planning tools to streamline onboarding for financial services
institutions.
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The Pega Client Lifecycle Management for Financial Services solution provides the following
key benefits related to onboarding large complex customers:
Pega’s Omni-Channel UX, which delivers an optimized and consistent user experience
across your organization:
− A revolutionized customer experience provides the ability to use multiple channels,
reducing repeat requests
− A consolidated view of all current service transactions and their constituent parts with an
ability to aggregate these views to provide a complete customer view for RMs and Sales
staff
Management of highly complex regulatory rules that are common across financial service
companies of all sizes across the globe:
− Consolidated requests for multi-product, multi-jurisdiction requests
− Ability to react quickly to change with regulatory rule maintenance service and the ability
to put your business experts in control of the process
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High-level functionality
Manager tools
Operational structure landing page
Pega Client Lifecycle Management for Financial Services provides an easy-to-use tool to define
the operational taxonomy of financial services institutions. Configuring the taxonomy enables
you to build a full operational chart with the necessary access groups, work queues, and
departments to drive, route, and manage work.
Product matrix
A matrix of available products and pertinent related information is used to offer products. The
availability of products on offer is governed by both the user’s location in the operational
structure and the type of customer to be onboarded (such as Organization, Individual, or Fund).
Role-based access
Managers can control access to the application, specific features, and data elements, using a
combination of configurable roles and privileges. Authorized users can easily configure dialogs,
coaching tips, and expert skills for service requests. These system tools are immediately
available to users as allowed by their permissions.
Event-driven architecture
Provided through Pega Foundation for Financial Services, the Event Driven Architecture
facilitates the creation, detection, consumption and reaction to events. Example events are an
expiry identification document, the need for periodic due diligence review or a customer data
change that may be material or not. All of these events can be detected and the system carry
out the necessary customer journeys to allow ongoing compliance.
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Business rules
Pega’s Business Process Management (BPM) streamlines your operations so you can reduce
costs and improve business agility. Pega is recognized by leading analyst firms as the most
comprehensive and unified BPM platform. Rules and processes automatically resolve work
wherever possible.
Case management
Pega’s industry-leading case management helps you simplify and automate work. Case
management helps you keep your promise to your customers, connecting all the people and
systems required to resolve each customer inquiry. It tracks related information, automates and
assigns outstanding tasks, and connects front- and back-office activity, for end-to-end
resolution.
Visual workflow
Pega’s Directly Capture Objectives (DCO) visual tools capture every aspect of how work gets
done, including processes, user interface and rule creation, and integration. You can easily
configure workflows using Pega’s process modeler by dragging and dropping from a library of
smart shapes. You can quickly add new service requests, which automatically creates the
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infrastructure that Pega Customer Lifecycle Management requires. You can translate business
requirements into finished applications without manual programming, reducing implementation
time and bridging the gap between technical and business resources.
In addition, Pega has a comprehensive suite of technology-level adapters that allow Pega
applications to fit seamlessly into an enterprise ecosystem. Pega supports transport or protocol-
level adaptors with form-based integration options, so that no custom code is required to
connect to an external system.
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Customer journeys
This table lists the customer journeys available with Client Lifecycle Management for the
Corporate and investment Banking Financial services segment of the Pega Client Lifecycle
Management for Financial Services application. Additional, preconfigured journeys will be
delivered in future releases. Your company can implement additional or alternate business
processes.
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These bases assets are specialized for the Retail Banking and Corporate Investment market
segments:
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Select products
The user sees a list of appropriate products with relevant information to choose from.
Personalize
The user enters account personalization details such as a PIN, password for online banking,
and statement preferences.
Review submission
The user is presented with a set of final terms and conditions related to the chosen products
and related services.
Confirmation
The user is presented with a message confirming their next action in the onboarding process.
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Customer synchronization
Following successful approvals from the Business Sponsors, all of the core data captured
during the first two stages of the customer journey is appropriately persisted into the systems of
record. A sample database comes built into the Pega Client Lifecycle Management for Financial
Services application to represent this process.
Entity type
High-level industry classifications
Country of incorporation address
Primary point of contact details
Add products
Selecting the Jurisdiction and/or Booking Entity presents a list of products available to onboard
the customer. This product list is driven by the operator’s alignment to the Financial Institution’s
operational structure and, as appropriate, supports selections of multiple products across
multiple jurisdictions.
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Related parties
To drive the necessary due diligence process(es), the Relationship Manager or Sales Support
staff can relate individuals and organizations to the customer being onboarded. They select
existing parties or create a new one and select it. They then assign a related party from the
available categories, any of which can have custom attributes to drive later business processes.
For example, when an organization is classified as an Ultimate Beneficial Owner, the user is
prompted to collect ownership percentage data. Ownership above a certain percentage will
automatically generate additional Pega Know Your Customer for Financial Services due
diligence specific for this organization.
Business case
The business case information captured from this relationship includes expected service date,
investment objectives, investment outlook, and expected value of the business to the Financial
Institution.
Resolve duplicates
Core information captured in the onboarding initiation is compared with potential duplicate
matches for customers already on the system. The user is presented with a list of potential
duplicate matches. They either continue if desired or pick the duplicate match and abandon the
journey before a duplicate record is created.
Stakeholder notifications
Key stakeholders automatically receive email notifications, appropriately updating them with
current status and step completion. Pega email correspondence templates allow you to
configure, style, and brand emails to meet your corporate standards.
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eScreening
The eScreening business service allows for a number of third-party providers of screening
services to be utilized. Equifax's service can highlight any matches to the US government's
Office of Foreign Asset Control (OFAC) database. Thomson Reuter's World Check API uses
data to screen for heightened risk individuals and entities globally, and to uncover hidden risks
in business relationships and human networks. A separate eScreening case is spun off for
parallel handling from the main parent case.
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Customer synchronization
Following successful approvals from the Business Sponsors, all of the core data captured
during the first two stages of the customer journey is appropriately persisted into the systems of
record. A sample database comes built into the Pega Client Lifecycle Management for Financial
Services application to represent this process.
Every Pega Know Your Customer for Financial Services case has the following stages:
Related party KYC: Generates additional cases for all relevant related parties. This
generation will iterate down through the related parties’ network based on configuration.
Global KYC: Collects Global KYC data.
KYC review: Reviews/completes authorizations for Global KYC collected data.
Local due diligence: Generates separate cases for each jurisdiction, including Anti-Money
Laundering (AML) checks, checks required according to the local regulatory requirements,
and a Relationship Manager review.
Fulfillment stage
Product Fulfillment cases are generated for each jurisdiction followed by wrap-up activities and
final stakeholder notification typically found in the type of organization in which the onboarding
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journey is based. Such fulfillment cases must be completed before you can resolve the overall
customer journey.
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Data model
Pega Client Lifecycle Management for Financial Services provides common data objects to
manage customer data. Some of the object types, such as “Account” and “Party” are designed
to accommodate data that is sourced from an external system of record. The application uses a
sample database from the underlying Financial Service Industry Foundation as its sample
system of record.
The following matrix provides the key objects used in the application and their respective Data
Pages. You can use the Data Explorer in the Designer Studio to review all Data Pages.
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PegaFS-Data- PegaFS-Data-
BusRelPartyXRef BusRelationship PegaFS-Data-BusLine
Key parties and their role in the Combines FI operational
business relationship information, key parties and Business Line of the FI offering
their related parties into a products to be onboarded.
e.g. Root Holder, Fund unique Business Relationship of
Manager, Principal Commercial or Retail type. e.g. E.g. Global Markets,
B2C, (Retail Loan), B2B2B (Fund) Commercial Banking
PegaFS-Data- BusRelPartyXRef
PartyPartyXRef
Relationship and role codes
between two parties (Org/Ind) PegaFS-Data-Party- PegaFS-Data-Account
Optional additional levels in the
e.g. UBO, AUC, FMS FI’s Operational structure. e.g.
PartyPartyXRef Stores key party information Key Account information Business Region, Country, State
These parties can be related to etc.
key parties in a Business Specialized by Individual and Customer Accounts Specialized by Loan, Deposit,
Relationship Org. Org contains subtypes and Transactions Investment and Card NOTE: These levels are keyed in
Bank, Merchant and Fund PegaFS-Data-BookingLocation
PegaFS-Data-RelCodes
Complete Party information
Relationship codes, descriptions
and categories PegaFS-Data- PegaFS-Data-Investment PegaFS-Data-
PegaFS-Data-Transaction
e.g. Ultimate Beneficial Owner, ContactChannel Position/Security BookingLocation
Authorized Contact, Spouse Contact information for a party Information related to Key Transaction information Location in which products and
investmements. Also includes
customers are being
Address, Email, Social Media, separate class for Market data Specialized by Loan, Deposit onboarded.
PegaFS-Data- Phone, Fax, Website (ACH), Investment and Card
PartyRelAttribType (Amex/MC/Visa) E.g. London, New York
Descriptions of attributes on PegaFS-Data-Income PegaFS-Data-Assets
Party to Party relationships PegaFS-Data-Expenses PegaFS-Data-Liabilities
(PartyPartyXRef) used to drive
KYC and Onboarding flows Income and Expenses for given Assets (liquid/illiquid) and
party Liabilities for a given party
Accounts and
e.g. Ownership Percentage on a Transactions
Ultimate Beneficial Owner role PegaFS-Data- PegaFS-Data-
SecurityQuestions EmploymentHistory
PegaFS-Data- PegaFS-Data-
PartyRelAttrib Security Questions for given A party’s employment history ProductMatrix
party use to confirm identity
Values of attributes on Party to
Party Relationships. List of Product and associated
e.g. Ownership Percentages of PegaFS-Data-Collateral details. Works in conjunction
Relationship of type UBO Core Party and with inclusion and exclusion
between these two parties is A party’s loan collateral Business Relationship lists to map product availability
X% information Information
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Roles, portals, and dashboards
Role Description
Relationship Manager Initiates onboarding journey with customer
Relationship Manager - Manager Approves and prioritizes new onboarding requests
Global KYC – Manager Manager in charge of team carrying out Global Know Your Customer work
Global KYC – User User carrying out data collection for Global Know Your Customer due diligence
Global KYC Review – Manager Manager in charge of team reviewing Global Know Your Customer work
Global KYC Review – User User carrying out reviews of Global Know Your Customer work
Local KYC Review - Manager Manager in charge of team carrying out Local Know Your Customer reviews
Local KYC Review - User User carrying out Local Know Your Customer review
Business Sponsorship - Manager Manager in charge of team carrying out Business Sponsor approvals
Business Sponsorship – User Business Sponsor responsible for approving onboarding journeys progressing to due
diligence
Credit Analysis – Manager Manager in charge of team carrying out Credit Analysis work
Credit Analysis – User User carrying out credit analysis work
Legal Documentation – Manager Manager in charge of team carrying out legal documentation work
Legal Documentation – User User carrying out legal documentation work
Sales Support - Manager Manager in charge of team carrying out Sales Support enrichment activities
Sales Support – User User carrying out enrichment activities
Fulfilment – Manager Manager in charge of team carrying out fulfillment tasks
Fulfilment – User User carrying out fulfilment tasks
IT Admin User responsible for overall system configuration
Branch User User in branch onboarding Retail Banking customers
Branch Back Office User User at branch completing back office onboarding activities for Retail Banking customers
Web Self-Service User Prospect carrying out onboarding process via a web browser (Phone, tablet, or desktop)
Name Description
CLM Relationship Manager Initiate customer onboarding journeys, and review progress and approve related
requests
CLM Back Office Manager Review and manage the work of others in areas such as business approvals, product
fulfillment, legal and credit approvals
CLM Back Office Operator Carry out back office tasks such as business approvals, product fulfillment, legal and
credit approvals
CLM KYC Manager Used to review and manage the work of those in the area of Know Your Customer
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Name Description
CLM KYC Operator Used to carry out all appropriate types of Know Your Customer
CLM Sales Support Manager Used to review and manage the work of those in Sales Support
CLM Sales Support Operator Used to carry out Sales Support work
Branch Portal (Retail Banking) Used by branch front office user in Retail Banking
The following section provides examples of functionality across the available end-user portals.
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Case search
This function allows operators and managers to search for cases and filter the list by core fields.
Case overview
Gives users a clear indication of the current stage, who owns the current task, the key
participants, case progress, and access to further information using the Customer summary in
the case header.
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Customer summaries
The application consolidates relevant customer information into a composite view for customer
of type Individual, Organization, or Fund. This enables users to get the full picture of your
customers. Customer composites provide organization detail, Know Your Customer types, and
open and recent onboarding requests. You can initiate appropriate new onboarding journeys
such as Add Product or Location from here.
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Customer search
You can search for existing customers using a basic or advanced search and then access their
customer summary. Search across a single or all customer types with results across multiple
tabs.
Where licensed appropriately, you can use a series of third party data partners to retrieve
details of a perspective customer. The onboarding process will then start with all available data
prefilled, thus accelerating the enrichment process.
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In addition to the end-user portals, there are two additional business configuration portals:
Name Description
Requirements Portal Configure names and validation around document collection
KYC Rules Manager Studio Configure all rules related to Know Your Customer
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Further reading
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