Mobile and bank payment integration, flow management, reconciliation and accounting traceability.
Business value
Collections that land, discrepancies caught the same day and a defensible audit trail.
Payment confirmations arrive twice, late or out of order. A system that does not plan for it creates double credits or lost orders.
Every confirmation is handled idempotently and tied to a unique reference, so replaying a message changes nothing in the final state.
A discrepancy found at month end is one whose origin nobody remembers. We reconcile movements daily and flag differences as they appear.
Every displayed amount can be traced back to the transaction that produced it.
Idempotently confirmed payments
Daily reconciliation
A complete audit trail
A first conversation is enough to clarify the context, priorities and the right place to begin.