A specialized financial reconciliation engine designed to handle large-scale vendor payouts. It balances payment gateway inputs, detects transaction fees, tracks vendor rules, and manages accurate payouts to thousands of bank accounts daily.
Reconcile thousands of merchant orders with bank settlement reports.
Configure instant, daily, weekly, or custom payout rules for partners.
Automatically split checkouts into marketplace fees, vendor shares, and taxes.
Ingests chargebacks, pauses matching balances, and streamlines dispute document uploads.
Engineered with industry-standard, production-proven languages, databases, and frameworks for massive scalability.
| Payout Rails | IMPS, NEFT, RTGS, and UPI payout networks |
| Audit Quality | 100% trace-ready financial logs |
| Processing Speed | Reconciles 1M+ transaction rows in under 5 minutes |
| Integrations | Bank partner payout host endpoints |
Contact us today to request a custom demo or explore integration possibilities within your enterprise ecosystem.