Close your books automatically against every settlement file
End-of-day matching reconciles transactions against bank settlement files, surfaces missing, extra and mismatched entries instantly, and tracks every payout.
Automated matching
Transactions are matched against bank settlement files automatically — no spreadsheets, no late nights.
Discrepancy reports
Missing, extra and mismatched entries surface instantly, with the full transaction context attached.
Crash-safe by design
Two-phase processing means results are never half-applied — even through a mid-run restart.
Statements & period lock
Period-end statements materialize and lock. A closed month stays closed.
Fits your settlement model
Funds via the platform or paid to you directly by the acquirer — both reconciled with the same rigor.
Related capabilities
Webhooks & Events
Reliable event delivery with HMAC signing, automatic retries, exponential backoff, and full replay for every payment event.
Smart Routing
Route every transaction to the best acquirer with ML-driven smart routing, automatic cascading failover, and real-time cost optimization.
Card Vault
Tokenize cards in a PCI DSS Level 1 vault. Minimize compliance scope with hosted fields and network tokenization across acquirers.
Ready to replace your payment stack?
Talk to our team and get a live demo tailored to your integration complexity.
Enterprise inquiry → [email protected]