We provide treasury management, multi-bank account management, and automated settlement reconciliation systems for African Corporates and Financial Institutions trading regionally and globally.
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As a financial institution, are you experiencing challenges reconciling your merchants' settlement reports efficiently, manually integrating settlement reports from multiple payment channels? This solution will increase your efficiency by 87%, allowing your settlement team to automatically reconcile all reports in real-time.
Multi-channel transaction reconciliation
Automated reconciliation of transaction processed across multiple channels and various currencies.
Robust and simplified operations
Settlement reconciliation, merchant administration, transaction monitoring, chargeback management, and report management.
360° risk and compliance review
AML-CFT sanction list screening, Merchant evaluation, Fraud prevention engine plug-in.
Seamlessly reconcile and process settlements for collections made on behalf of merchants across multiple channels. Streamline your settlement and chargeback operations, as well as merchant onboarding and administration, all through a unified portal.
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