01 / Overview
A dashboard that automates the reconciliation of cross-border payments for a payment aggregator, replacing a manual monthly process.
Built for a cross-border payment aggregator, this dashboard automates the tedious job of matching bank statements against internal transaction logs, and flags unusual patterns that are worth a closer look.
02 / Approach
Bank statement reconciliation
Multi-currency handling
Anomaly flagging
03 / Challenges
Reconciling multiple currencies with shifting exchange rates and different settlement schedules across countries required careful handling of timing and rounding.
04 / Results
What used to take a team of accountants several days each month is now largely automated, freeing up their time for exception handling instead of manual matching.
