Financial services
Financial platforms where every movement reconciles
Built for payment providers, remittance companies and financial institutions that need transaction handling to be provably correct rather than approximately right.
Overview
The defining engineering problem in financial software is what happens to the transactions that do not behave: the duplicate that arrives after a timeout, the partial settlement, the movement that lands a day late. Systems that handle only the clean path push all of that onto a finance team. We design the exception paths as deliberately as the happy one, with idempotent operations, automated matching and a defined resolution route for each class of exception.
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Idempotent by design
A retried request cannot become a duplicate movement.
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Automated matching
Reconciliation as system behaviour, not a monthly spreadsheet exercise.
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Exceptions with owners
Every unmatched item queued, assigned and resolved on the record.
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Reconstructable history
Immutable audit trail for any transaction, on demand.
Capabilities
What the platform covers
- Payment gateway and channel integration
- Remittance workflows
- Settlement processing
- Automated reconciliation and exception handling
- Account services and final account preparation
- Corporate account onboarding workflows
- Treasury, liquidity and foreign exchange operations
- Financial network connectivity
- Regulatory and audit reporting
Outcomes
What it changes
Stated as operational differences rather than percentages, because we do not publish figures we cannot substantiate.
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Reconciliation stops scaling with volume
Automated matching absorbs growth that used to mean more headcount.
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Faster period close
Exceptions resolved continuously rather than in a month-end push.
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Audit answered from the system
History available without a manual reconstruction exercise.
Built with
- .NET Core
- Web API
- Microsoft SQL Server
- Queue-based processing
- AWS
- Microsoft Azure
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Operations
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AI
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