Optimize your payment reconciliation processes with peace of mind
Streamline your flows, reduce discrepancies, and enhance customer experience.

Gérez vos flux financiers en toute sérénité
Les entreprises font face à une complexité croissante dans la gestion des flux financiers : multiplication des transactions, diversité des moyens de paiement, délais de traitement, erreurs comptables, risques de fraude… Sans un outil adapté, la réconciliation devient un casse-tête et les écarts s’accumulent, mettant en péril la fiabilité des comptes et le pilotage financier.
Face à tous ces défis une solution de réconciliation automatisée vous permet de :
- Centraliser l’ensemble de vos flux
- Détecter automatiquement les anomalies
- Sécuriser votre trésorerie
- Vous libérer des erreurs et des processus manuels qui ralentissent votre activité

Numerous & strategic challenges
As a Payment Expert, you are responsible for ensuring the smooth and efficient flow of transactions.
Rising Transaction Volumes
High and increasing volumes, seasonal spikes, international transactions and the diversity of payment methods complicate transaction management, raising the risk of errors and overburdening teams.
Pressure on Processing Times
Consumers and partners expect fast paymentsand refunds. Any delays can impact customer satisfaction and harm thecompany’s reputation.
Need for Multi-actor Coordination
Collaborating with PSPs, marketplaces,banks, and other parties can be challenging when the tools you use are notinteroperable or standardized.
Complex Discrepancies
Identifying anomalies and discrepancies (duplicates,unmatched payments, reconciliation errors) requires time and resources,especially in a multi-channel environment.
Des défis quotidiens et une solution efficace pour chacun
Vos défis quotidiens
Des solutions adaptés
Erreurs comptables :
Divergences entre paiements reçus et factures émises, saisies manuelles sujettes aux erreurs.
Réconciliation automatisée des flux :
Pour une détection immédiate des écarts et une correction simplifiée.
Processus lents et chronophages : rapprochement manuel des transactions, multiples fichiers Excel à analyser.
Centralisation des données :
et traitement en temps réel pour une gestion des flux financiers rapide et fluide.
Manque de visibilité sur les transactions :
difficulté à suivre les paiements, remboursements et litiges.
Tableau de bord :
en temps réel avec un suivi détaillé et des rapports clairs pour une prise de décision rapide.
Risques de fraude et non-conformité :
erreurs non détectées, risque de redressements fiscaux, audits complexes.
Automatisation des contrôles :
pour assurer la conformité aux normes et sécuriser vos opérations financières.
Gestion des écarts non optimisée :
Correction tardive des anomalies, impact sur la trésorerie et la clôture comptable.
Outil intelligent de gestion des écarts :
Avec alertes automatiques et suggestions de correction.
Our Solutions
To help you tackle these challenges, our solutions provide:
Centralized and Automated Payment Flow Management
Importing,matching, identifying discrepancies, and tracking anomalies are smooth andfast, regardless of the volume. All your payments, accounts, channels,currencies, and PSPs reconciled in one place.
Increased Speed and Accuracy
Optimized algorithms reduce error rates andaccelerate processing times to meet customer and partner expectations.
Detailed and Customizable Reporting
Track the performance of your teams,discrepancies, payment flows, and gain actionable insights to adjust yourprocesses.
Full Interoperability
Our tools integrate seamlessly with your PSPs,marketplaces, and internal solutions, ensuring frictionless collaboration amongall parties.
Enhanced Compliance
With advanced traceability and documentationfeatures, you’re always prepared for audits or regulatory requests.
Benefits that makes the difference

Proven Reliability
Average matching rate of over 98%, guaranteeing accurate, usable data. The accuracy of the algorithm and the automation of matching tasks leave little room for human error, and considerably reduce financial losses.
Intuitive Interface
Designed for payment experts, the platform is easy to use and intuitive. Technical barriers are removed to improve team productivity. Tailor-made support and team training reinforce this ease of use and help you to exploit the full potential of the solution.
Sector-specific Adaptability
Whether you’re in insurance, retail, e-commerce or a large corporation, our tools are designed to meet the specific needs of your business sector. Whatever the volume or complexity of the transactions, our flexible ETL transforms and enriches the data, handles multi-currency processing, and supports high volumes while smoothing the workload during peaks in activity.
High-Level Security
Compliant with cybersecurity standards and regulations on data protection and the management of sensitive data, our solutions protect your transactional flows. Our solutions also facilitate fraud detection, making your processes reliable, secure and efficient.

compatibles data sources







Enhance performance and profitability with an automated, reliable, and secure solution for reconciliation and financial close. Simplify financial management and improve cross-team collaboration
Simplify financial close with XCERT and XREC: automated reconciliations, regulatory compliance, and discrepancy management for stress-free financial operations.
Optimize financial processes with an interconnected, centralized, and secure solution for reconciliation and financial close. Save time and reduce operational costs.