Financial operations
Settle Match
Automated transaction reconciliation across payment providers, reports and financial data sources.
The problem
Matching what the payment gateway, the bank and the accounting system each report is manual, repetitive and error-prone work.
Overview
Settle Match automatically cross-checks movements from different financial sources, flags the differences and keeps an audit trail of every match.
Key capabilities
- Data ingestion from several payment providers
- Automated transaction matching
- Discrepancy detection and classification
- Reconciliation reports
- Traceability for every movement
Other Rossol products
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