SERVICES

Settlements you can actually reconcile

One consolidated settlement view across every provider and currency. Know what was paid, when, in which currency, and against which transactions.

Consolidated reporting

Every provider's settlement normalized into one format your finance team can work with.

Automated reconciliation

Transactions matched to settlements automatically, with exceptions flagged for review.

Multi-currency payouts

Settle in the currencies you need, with transparent FX and fee breakdowns.

Finance-ready exports

Scheduled exports and API access that plug straight into your accounting system.

No more manual spreadsheet matching
Fee and FX transparency per transaction
Configurable settlement cycles
Full historical archive

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