Empowering Every Team

Our reconciliation platform is designed to meet the unique needs of finance, operations, reconciliation, and customer success teams. By automating complex financial processes, we eliminate manual errors, increase efficiency, and provide real-time visibility into your transactions. Whether you're overseeing financial strategy, managing daily operations,
or ensuring seamless settlements, our solution delivers accuracy and control at every stage.

Roles

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CFOs & Financial Controllers

Financial Control, Elevated

Ensure precise financial oversight with automated reconciliation that minimizes discrepancies and manual errors. Our platform provides real-time financial reports, audit trails, and insights that allow CFOs to improve cash flow management, enhance financial planning, and ensure compliance with industry standards. By streamlining reconciliation, financial leaders can focus on making informed decisions to drive business growth and profitability.
OPERATIONS TEAMs

Efficiency at Your Fingertips

Optimize your day-to-day financial processes by automating transaction tracking and report generation. The operations team benefits from enhanced visibility into transaction flows, allowing for quick identification of bottlenecks and discrepancies. With powerful tools for managing exception handling and task automation, your team can minimize operational risks, reduce delays, and ensure the smooth execution of financial workflows.
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Reconciliation & Settlement Teams

Master of Settlements

Take control of complex reconciliation workflows with a system designed to simplify even the most challenging settlement processes. Our solution empowers reconciliation teams to manage high transaction volumes efficiently, match records from multiple sources, and resolve exceptions in real time. With built-in tools for identifying duplicate transactions, handling chargebacks, and managing pending settlements, your team can focus on maintaining accuracy and achieving timely settlements.
Customer Support Teams

Customer-Centric Resolutions

Provide swift, informed responses to customer inquiries by leveraging our system’s real-time data access. Customer success teams can easily track transaction statuses, resolve disputes related to failed or delayed payments, and generate receipts for chargebacks or reversals. This ensures a seamless customer experience, reduces resolution times, and improves overall customer satisfaction by giving your team the insights they need to address issues on the spot.
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FEATURES

Key Features Across Roles

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Real-time visibility

Automatically match your NIP transaction data with bank reports and NIBSS logs, reducing manual effort and errors.

Customizable Reports

Generate custom reconciliation reports based on your business needs and easily identify transaction issues.

Automated workflows

A comprehensive dashboard to view, assign, and resolve transaction exceptions such as failed, delayed, or duplicate transactions.
OFFERINGS

Why you should choose us

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 Savings

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.
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Get in touch

Have more enquiries? Please chat to our friendly team.