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Reconciliation

Settlement matching, and an honest list of breaks

Tenant manager

O que resolve

Provider settlement files and internal records disagree in small ways constantly — fees applied differently, timing at the day boundary, partial refunds. Chasing those by hand does not scale past a handful of providers.

Como funciona

01

Import and match

Settlement data is matched against platform transactions on amounts, references and timing windows rather than a single exact key.

02

Breaks as work items

Anything that does not match becomes an explicit break with a reason, assigned and resolvable, instead of a silent difference in a total.

03

Wallet-aware

Resolution ties back into balance history, so a correction is visible in the same place the original movement was.

A vantagem

Month-end stops being an event

Breaks are handled as they appear rather than discovered in a batch at the end of the period.

Fee leakage becomes visible

Systematic differences between contracted and applied fees show up as a pattern of breaks, not as a slightly disappointing margin.

A defensible position

When you dispute a settlement with a provider, you have the itemised difference rather than a total.

Disponibilidade

Enabled per billing plan. Finance routes are entitlement-gated.

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