Automatically matches transactions across multiple channels POS, ATMs, web, and mobile with settlement reports from switches and processors.
Model internal transfer rates between deposit-raising units and loan-making units to measure profitability and performance more precisely. FTP enables risk-adjusted return calculations.
Generate comprehensive reports for operations, audit, and compliance. Dashboards provide real-time visibility into settlement statuses, exceptions, and financial exposure.
We’re happy to answer any questions you may have and help you determine which of our services best fit your needs.
+1 800 123 4567
consulting@braintreetechnologies.ca