Automate reconciliation, validate every fee, and trace every penny—with AI, APIs, and no-code
Trusted by Global Leaders
Leverage advanced AI; Ensure compliance, efficiency, and security for diverse finance teams


Strategic Decision-Making:
Provides real-time financial insights and analytics, enabling informed strategic decisions and future forecasting.

Enhanced Collaboration:
Facilitates seamless collaboration across departments, improving workflow and productivity.

Risk Management:
AI-driven anomaly detection helps mitigate financial risks and ensures regulatory compliance.

Cost Efficiency:
Automates manual reconciliation processes, significantly reducing operational costs and resource allocation.

Stakeholder Confidence:
Enhances reporting accuracy and transparency, boosting confidence among investors and stakeholders.


Automated Reconciliation:
Streamlines daily reconciliation tasks with AI, improving accuracy and saving valuable time.

Compliance Simplified:
Automatically updates and maintains compliance with evolving financial regulations, ensuring peace of mind.

Data Security:
Prioritizes data protection with top-tier security certifications, safeguarding sensitive financial information..


Operational Agility:
Optimizes operational workflows through automation, enabling teams to focus on strategic tasks.

Error Reduction:
Minimizes errors in financial operations with AI-powered checks, enhancing overall operational integrity.

Scalability:
Easily adapts to changing business needs, supporting growth without the need for extensive resource investment.

Visibility and Control:
Offers comprehensive dashboards for real-time operational insights, fostering better control and decision-making.


Efficient Books Closing:
Accelerates month-end close with automated reconciliation and reporting, ensuring timely and accurate financial statements

Audit Readiness:
Streamlines audit processes with easily accessible and verifiable financial records, reducing preparation time and complexity.

Regulatory Compliance:
Keeps financial statements in line with accounting standards and regulations, avoiding penalties and fines.

Collaborative Workflows:
Enhances team collaboration during the close process, improving efficiency and reducing manual errors.


Improved auditability:
Maintain a complete audit trail of all activities, ensuring compliance and transparency.

Single source of Truth:
Monitor and Manage all treasury operations from a single platform, simplifying oversight and control.

Optimize resource allocation:
Allocate resources to higher-value tasks by automating routine processes.

Data-driven planning:
Develop data-backed strategies for managing liquidity, investments, future cash flows, and financial risks.


Integration Ease:
Offers flexible APIs and integration options, simplifying the incorporation into existing systems and workflows.

Single source of Truth:
Monitor and Manage all treasury operations from a single platform, simplifying oversight and control.

Optimize resource allocation:
Allocate resources to higher-value tasks by automating routine processes.

Technical Support:
Prioritizes high-quality, responsive technical support to ensure smooth operation and quick resolution of issues.
Built for treasury, payments, accounting & finance teams in high-volume businesses.

A fresh approach to data gathering, normalizing, and transforming operational data quickly and effortlessly, without coding even in highly regulated and controlled environments.

Gather, validate, normalize, and transform operational data

Architect custom business workflows in no time

Ensure the integrity and accuracy of your data

Secure financial data in PCI-DSS certified cloud data mart

All this without writing a single line of code


Simplify reconciliations with speed, mastery, and flexibility, synchronizing operations and accelerating profits.

Match, validate, and reconcile a million transactions in seconds

Real-time transaction monitoring to reduce financial risk

Ensure zero revenue leakage across business cycles

Identify missed payments, issues and chargebacks

Save time, money on payment reporting and reconciliation


A scalable platform built for speed and financial accuracy, flexible to provide any transactional insights and balances.

Match, validate, and reconcile a million transactions in seconds

Create ledger entries instantly as & when transactions happen

Record transactions as unchangeable double-entry record

Detailed audit trails, balance reporting, and fund segregation

Complete financial visibility to optimize costs


Minimize costs and expenditures through real-time reporting and analysis uncovering powerful business insights.

All payment & financial data in one place with filters and reports

Track money movement across payment channels

Get actionable insights like fees, commissions, payouts, etc.

Monitor transactions closely for complete auditability

Analyze detailed payment data for better business decisions


Say Goodbye to complex fee structures and manual calculations. Simplify the management of fees, commissions, and rebates without the need for expensive software modifications.

Covers data from Third-party processors, payment service providers, merchant service providers, Peer-to-peer networks, acquiring banks, and issuing banks.

Configure fee calculations without writing a single line of code.

Define fees for interchange, gateways, processing, services, recurring charges, commissions, rebates, and more.

Implement transaction-based, volume-based, percentage-based, threshold-based, flat, or tiered fees.


Revolutionizing payment reconciliation with AI-powered precision, automation, and speed—streamlining even the most complex transactions and enhancing financial control without manual effort.

Automate, match, and reconcile payments with AI-driven intelligence

Identify and resolve discrepancies in real time

Gain actionable insights with advanced predictive analytics

Secure sensitive transaction data in a PCI-DSS compliant environment

Achieve seamless reconciliation processes—no coding required With AI-powered reconciliation, businesses can handle high transaction volumes, reduce errors, and improve financial accuracy effortlessly, all while maintaining full compliance and security.


A modern solution for managing your period-end financial processes with confidence. Automate reconciliations, streamline approvals, and drive faster, audit-ready closes—without the need for complex configurations or manual spreadsheets.

Centralize and automate your entire financial close process

Collaborate seamlessly with built-in task workflows and team assignments

Ensure audit readiness with traceable, version-controlled documentation

Get real-time visibility into close status, exceptions, and bottlenecks

Go from close chaos to close confidence—without code

Pre-integrated APIs with 1500+ payment ecosystem partners viz. ERPs, Billing Systems, Payment Facilitators, Networks, Banks

Certified for Security, Trust, and Compliance.


Move faster while drastically lowering your operational and IT costs.

Ensure transaction-level financial accuracy and eliminate revenue leakage.

Scale operations without scaling teams across regions and currencies.

Scale accounting seamlessly with AI-driven journal posting and ledger accuracy.

Ensure top-tier data security with a PCI DSS-compliant platform.

Make data-driven financial decisions with greater clarity to maximize revenue.