Reconciliation between Subacquirers and Registrar

Sub-acquirer vs. Registrar reconciliations

Automate reconciliation between sub-acquirers and registrars, ensuring that transactions are reconciled accurately. Eliminate discrepancies and ensure that all records are correct and up-to-date.

How does Dattos solve it?

Complete automation

Dattos automates the reconciliation between the transaction records processed by sub-acquirers and the registrar's data, ensuring that the information is always correct and up-to-date.

Error Minimization

The platform quickly identifies discrepancies between data from the sub-acquirer and the registrar, eliminating manual errors and ensuring that all payments and registrations are correct.

Visibility and Control

Get a consolidated view of all transactions processed between sub-acquirer and registrar. Facilitate financial management and ensure full compliance with regulatory obligations.

Automated reconciliations between sub-acquirers and the registrar

Receivables schedule

Assessment of discrepancies in the value of the receivable recorded in the registrar's schedule in relation to the sub-acquirer's schedule.

Contract effects

Verification of the claim made by the flag with what the sub-acquirer has recorded internally as an occurrence.

Verification of households and amounts settled

Evaluation between what has been paid and what appears on each household's bank statement.

Fill in the form below and schedule a demonstration

Ensure more reliable data and reduce time by automating manual tasks