Reconciliation & Settlement Engine
Handling reconciliation manually drains both time and accuracy. Our settlement engine automates every step matching transactions, generating reports and pushing adjustments directly to your accounting or ERP systems. It supports complex use cases like partial settlements, reversals and multi entity clearing. With rule based logic, discrepancies are flagged instantly, cutting down reconciliation cycles from days to minutes. Teams get a clear dashboard to track payable and receivable balances, while auditors gain transparent access to all entries. The goal is simple: help your financial operations close faster, stay compliant and deliver precision at scale without relying on manual intervention.
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