Why Analytics & Reconciliation Matter
Finance teams spend up to 70 % of month‑end closing time on manual file‑matching and exception hunting. Automated tools cut that workload by 80 % and deliver real‑time metrics that help CFOs steer cash faster.
How It Works
Ingest – Gateway, bank and wallet files land via SFTP or API every hour
Match & Score – Algorithm joins on amount, currency, auth code and hash; confidence score > 90 % auto‑reconciled.
Visualise & Export – Dashboards update; unmatched lines queue for review, and daily settlement reports push to your ERP.

Industry Use Cases
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Marketplaces – Track split‑payout leakage, vendor fees and settlement timing per country.
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Telecom & Utilities – Reconcile prepaid top‑ups vs. bank deposits in real‑time.
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Fintech Wallets – Monitor float balances and identify dormant funds instantly.
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NGO Programs – Audit every stipend, FX rate and mobile‑money fee to donor standards.
Security & Compliance
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Multi‑tenant data model; each client has isolated analytic warehouse.
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Field‑level AES‑256 encryption; keys stored in HSM clusters.
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SOX & ISO 27001 audit trails; tamper‑proof logs meet regulator retention windows.