Finance and fintech
Reconciliation, audit trails, gateways that settle cleanly
- Reconciliation
- Audit trail
- Gateways
- Reporting
Financial software is judged on whether the numbers agree at the end of the day. That makes reconciliation, immutable history and settlement the actual product — the interface is the easy half.
What we build here
Ledgers and reconciliation
Double-entry where double-entry belongs, and an automated match between what the gateway says and what your ledger says.
Payment integration
Local and international gateways, with settlement, refunds and chargebacks handled as first-class cases rather than as exceptions.
Audit and compliance
An append-only history of who changed what, which is what an auditor asks for and what a dispute is settled with.
Reporting
Statements and regulatory reports generated from the ledger, so they cannot disagree with it.
What you end up with
- Automated reconciliation instead of a monthly hunt
- An immutable record of every change
- Refunds and chargebacks handled properly
- Reports generated from the ledger itself
Other sectors
Working in this sector?
Tell us where the current system loses you. The quotation is free and it commits you to nothing.
