Automate PSP transaction and fee reconciliation and controls
Automate data integration and standardization across all your Payment Solution Providers for seamless transaction reconciliation and cost control.
Match transactions and identify discrepancies between your back-office and PSP reports
Automatically send data from PSP platforms to Reiterate to enable near real-time reconciliation
Monitor vendor performance and optimize payment processing costs across all your PSPs
Say goodbye to manual reconciliations
Take away the tedious task of juggling spreadsheets and manual data standardization – get all your payments data automatically structured and matched against your internal records.
Automated transaction matching
Match and verify transactions between payment solution providers and your internal records
Identify discrepancies, investigate payment errors, and resolve issues as you go, maintaining an audit trail
Get insights and reports on reconciliation results, tracking reconciled amounts, error types by PSP, and more
Integrations and data standardization
Integrate payment solution providers with Reiterate to ensure real-time transaction reconciliation
Get PSP transaction reports automatically structured, standardized, and ready for reconciliation
Opt for manual data uploads and let Reiterate take care of data structuring and standardization
Comprehensive PSP fee analytics
Understand cost allocation, processed volumes, market costs, and more to manage your cash flow and forecasts effectively
Get a comprehensive overview of all transaction fees and associated costs
Compare settlements, fees, and agreed vendor terms to identify discrepancies or anomalies and proactively address any issues with your vendors
Key features for seamless PSP payment reconiliation
Working with more than a dozen of PSPs has never been easier – Reiterate provides the tools and insights to keep your payments and reporting accurate.
Integrate with all your PSPs for automatic data entry and save hours of manual work every month.
Match and verify transaction records between payment solution providers and your back-office.
Estimate monthly transaction fees and compare them with settlement statements.
Automate journal entry creation in your accounting platform, ensuring timely and accurate reporting.
Streamline your financial workflows to improve efficiency and reduce manual efforts.
Get detailed insights into your financial operations and make data-driven decisions.
Estimate and compare the fees of different payment service providers to control your payment costs.
Organize and track your financial tasks effectively, ensuring nothing falls through the cracks.
See Reiterate in action
Book a demo and discover how Reiterate can streamline and automate your financial operations, freeing up your team for strategic growth initiatives.
Explore Reiterate’s solutions
Discover how Reiterate brings visibility and accuracy to your financial management.
Transform the tedious task of matching ledger entries with records into an automated and error-free operation.
Estimate monthly transaction fees and compare them with settlement statements.
Optimize costs and make data-driven decisions by monitoring your PSP's performance.
Send accurate payment data and ensure factual reporting across all your financial platforms.
Ensure complete tracking of your month-end activities with the help of automated workflows and tasks.
Financial close platform that fits your business needs
Empower your teams with a financial control platform built for your industry — from complex transaction reconciliation in iGaming to ensuring compliance in financial services.