Vector ML Analytics offers an all‑in‑one financial platform for banks, lenders, credit funds and other financial institutions, covering budgeting, forecasting, investor reporting, asset‑liability management, liquidity planning, and debt capital markets.
Funding
$3.2M raised to dateRaised to date based on public sources. This may differ from the amount the company actually raised and is based only on what is publicly available on the internet.

PAFounders
Product
Problem
Financial institutions such as banks, lenders, and credit funds must manage complex budgeting, forecasting, regulatory reporting, credit risk, and asset‑liability balances across many asset classes, often using fragmented tools that are slow, error‑prone, and difficult to integrate.
Solution
Vector ML Analytics provides an all‑in‑one, AI‑enhanced platform that unifies financial planning & analysis, debt capital markets, credit risk analytics (including CECL compliance), and asset‑liability management. The platform delivers real‑time, predictive insights through machine‑learning models and supports scenario planning, variance analysis, and cash‑flow forecasting. A developer‑friendly API with multiple SDKs and webhooks lets customers embed the same modeling capabilities into their own applications, while SOC 2 Type II certification ensures enterprise‑grade security and compliance. Users access comprehensive dashboards, automated reporting, and smart notifications that streamline decision‑making and reduce manual effort.
Target Audience
Primary customers are banks, commercial lenders, credit funds, and other financial institutions that require integrated, high‑precision financial modeling, risk analytics, and regulatory reporting.
Features
- AI‑powered FP&A tools for budgeting, multi‑year projections, scenario modeling, variance and cash‑flow analysis
- Integrated credit risk analytics with PD/LGD/EAD models, CECL and IFRS 9 compliance, stress testing, and portfolio monitoring
- Asset‑liability management module covering interest‑rate risk, liquidity planning, duration matching, and regulatory reporting
- Debt capital markets suite that digitizes debt agreements, automates funding requests, and provides advanced analytics for debt portfolios
- Robust API with JavaScript, Python and other SDKs, real‑time webhooks, sandbox environment, and connectivity to 50+ data sources
- Enterprise security features including SOC 2 certification, encryption, and 99.9% uptime SLA
- Library of 300+ financial models spanning 20+ asset classes for rapid deployment and customization