Tag: payment reconciliation

Reconciliation of Payments: The Complete UK Guide for Finance Teams and Platforms
Reconciliation of payments confirms that money recorded in your books has actually moved through the bank, but payment reconciliation still breaks more often than most UK finance teams openly admit. This guide explains what a bank reconciliation statement shows, why matching fails, what makes it solvable, and how platforms build dependable reconciliation of payments today.

Automated Corporate Bulk Payment Reconciliation for UK Financial Platforms
Automated corporate bulk payment reconciliation enables UK platforms to monitor settlement in real-time using bank transaction APIs. Platforms access structured payment data for payroll, vendor payouts, and disbursement reconciliation without manual effort.

Automated Payment Reconciliation for UK Accounting Platforms
Automated payment reconciliation requires real-time bank transaction data. UK accounting platforms use Finexer’s FCA-authorised Open Banking infrastructure to access structured feeds enabling automated matching without manual CSV uploads.