Automated Clearing & Settlement System
Multi-currency, multi-rule intelligent clearing engine, accelerate fund turnover
Intelligent clearing system designed for cross-border payment business, supporting multi-currency clearing (no FX conversion), automated reconciliation and exception handling. Flexible settlement cycle configuration (D0/T+1/T+N), customizable such as T+3/T+5/T+15, helping merchants significantly improve cash flow and reduce 80% manual processing time.
Support major currency clearing and account aggregation (no FX conversion), ensuring smooth fund clearing process.
Support D0 same-day arrival, T+1 next-day settlement and T+N custom cycles, flexible choice, effectively improving fund utilization and business health.
System-driven automated reconciliation and matching, accuracy over 99.999%, transaction discrepancy auto-detection and alert push.
Full-chain record from transaction initiation to settlement, complete audit trail, meeting financial compliance and regulatory requirements.
Strictly compliant fund isolation custody mechanism, meeting regional payment regulatory requirements, protecting merchant fund security.
Daily, weekly, monthly and T+N custom flexible configuration, examples: T+3/T+5/T+15, fitting business and contracts.
Technical Specifications
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