Settlement handling

Recognize PSP cash payouts accurately to view real-time cash position

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Recognize PSP cash payouts accurately in real-time

Automatically create journal entries for PSP to bank payouts, so you can speed up bank reconciliation.

Real-time visibility into cash position

Filter by segment and PSP to see which generates the most cash. Monitor payouts as they occur and immediately identify discrepancies or errors in the disbursement process, like non-payment and disputes. Stop your losses before they compound.

Automate your journal entries at scale with Leapfin