Accurate, Fast, and Automated Reconciliation 

Don’t let manual processes slow down your business. Automate and control payment transactions with unmatched speed and accuracy. 
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Avoid Transaction Uncertainty, Protect your Bottom Line

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No More Guesswork, Gain Financial Control via Automated Reconciliation  

Get full transparency to scale operations seamlessly without losing control or oversight.
Plan and execute financial decisions with accurate, real-time data.
Always know your exact cash position to manage liquidity with confidence.
Deliver an exceptional customer experience by resolving financial issues swiftly.
Save time by automating tedious and error-prone tasks.
FEATURES

Core Features and Functionalities

Data Integration & Import
Multiple Matching
Reporting
Data Validation
Duplicate transaction checks
Missing transactions
Truncated matching references
Cash Balance Validation
Closing Balance
NGN 42,639,959.21
Opening Balance
NGN 42,639,959.21
Chargebacks & Reversals Reconciliation
INDUSTRY USE CASES

End-to-End Reconciliation Solutions

Bank Transfers

Automated matching and resolution of issues related to transaction delays and cross-bank discrepancies.

POS

Accurate transaction processing across distributed networks of agents, with automated matching to reduce operational inefficiencies in remote banking services.

Card Payments

Efficient handling of high transaction volumes while ensuring compliance with payment provider agreements and minimising chargeback risks.

Bill Payments

Ease the reconciliation of bill payments, ensuring that every transaction between service providers and customers is accurately matched, reducing errors and discrepancies.

Insurance

Automate the reconciliation of insurance premiums and claims, ensuring that all payments and settlements are tracked, matched, and verified in real-time.

Wallets

Reconcile digital wallet transactions seamlessly by verifying deposits, withdrawals, and transfers, providing real-time insights into balances and reducing financial discrepancies.

Mobile Money

Ensure accurate tracking and reconciliation of mobile money transactions by matching transfers, payments, and balances across different platforms, enhancing transparency and control.
WHO WE SUPPORT

Solutions for different roles

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CFOs & Financial controllers

By streamlining reconciliation, financial leaders can focus on making informed decisions to drive business growth and profitability.

Operations

The operations team benefits from enhanced visibility into transaction flows, allowing for quick identification of discrepancies.

Customer support teams

Customer success teams can easily track transaction statuses, resolve disputes related to failed or delayed payments, and generate receipts for chargebacks or reversals.

Reconciliation and Settlement teams

Our solution empowers reconciliation teams to manage high transaction volumes, match records from multiple sources.
OFFERINGS

Why You'll Love Our Solution

Speed

Process vast amounts of data in record time, ensuring your payments are always on schedule.

Accuracy

Generate precise, error-free financial reports that you can trust every time.

Cost Efficiency

Avoid money loss by knowing where each dollar is at all times.

Scalability

Handle increased data volumes and complexity as your business expands.

Audit Trail

Maintain a clear, compliant audit trail, meeting regulatory standards with ease.

Visibility

Gain full visibility into your financial transactions with instant, actionable insights.

Run reconciliation at scale with total confidence.

Meeting

"Credrails has transformed our card operations, automating the reconciliation process end-to-end. It has freed our team to focus on strategic and higher value-adding initiatives".

Martins Omogo
Lead, Cards Settlement and Reconciliation