Why Financial Software Licensing Needs an Audit Trail
Financial software sits between complex regulation, sensitive access rights, and multi-entity commercial structures.
Licensing needs to prove who had access, what they used, and how usage maps to the right customer entity.

Access Gaps Create Audit Friction
Financial software buyers often need clear records of who accessed which module, when, and under what entitlement. Spreadsheet-managed licences make that evidence hard to assemble and harder to trust.

Fine-Grained Access Control at Scale
Traders, risk analysts, compliance officers, support teams, and auditors may each need different module access. Those entitlements change with roles, organisational structure, and contract scope.

Separate Billing Per Entity
A financial group spanning subsidiaries, funds, regions, or business units needs independent entitlement boundaries and usage tracking per entity, not one shared account that obscures cost allocation.

Commercial Rules Change Faster Than Code
Hard-coded licence logic inside a fintech stack makes pricing, packaging, and access changes dependent on engineering releases. Externalising entitlements keeps the commercial model more adaptable.
Audit-Friendly Entitlements for Financial Software
NetLicensing provides the entitlement records, role-scoped access control, and multi-entity billing layer financial software teams need for controlled access and flexible monetisation.
Entitlement Records for Audit Reviews
Each entitlement validation can carry timestamp, licensee context, and transaction reference data. Build a clearer record of which user or entity accessed which module under which entitlement, without manual licence spreadsheets.Learn about Quota licensing →
Role-Scoped Module Access
Gate access to trading tools, risk dashboards, reporting features, and compliance modules by organisational role using the Multi-Feature model. Define distinct feature sets per role and update entitlements as roles or contracts change.Learn about Multi-Feature model →


Usage-Based Billing Across Entities
Model usage by transaction processed, API call, report generated, or seat count, with independent entitlement contexts per subsidiary, fund, or jurisdiction. Combine subscriptions with consumption metering to support enterprise financial account structures.All platform features →
Financial Software Licensing Use Cases
See how financial software vendors manage controlled access, entitlement records, and entity-level billing.

Compliance & Licence Audit: Automated Overuse Detection and Audit-Ready Reporting
Compliance & Licence Audit: Automated Overuse Detection and Audit-Ready Reporting
Detect overuse, enforce entitlement compliance, and produce audit-ready reports for enterprise and regulated customers

Offline & Air-Gapped Deployment: Secure Licensing for Disconnected Environments
Offline & Air-Gapped Deployment: Secure Licensing for Disconnected Environments
Issue cryptographically signed licences for software running in disconnected, regulated, or secure environment deployments