Provider and Bank Reconciliation Loops
Automate ingestion of processor reports, bank statements, and payout confirmations. Match transactions by amount, currency, reference, and timestamp windows. Flag partials, duplicates, chargebacks, and late reversals. Provide internal tooling for rapid investigation and resolution. Robust reconciliation is boring by design, yet it prevents silent leakage, misstatements, and the sort of weekend firefights that permanently exhaust small platform teams.