Financial Services

Business payment infrastructure with stronger operational controls.

Support controlled payment, treasury, settlement and reconciliation workflows for eligible financial-service businesses.

Operational priorities

Challenges

The issues that commonly create operational friction for this business model.

  • Access controls
  • Auditability
  • Integration requirements

Solutions

Ways to make collection, follow-up and financial work easier to manage.

  • Role-based permissions
  • Audit logs
  • Settlement operations

Capabilities

Core eKash Business capabilities that can support the operating model.

  • Payments
  • Settlement
  • Reconciliation
  • Reporting
  • API integration

From transaction to financial visibility

For Financial Services businesses, the value is not only in accepting a payment. The operating team also needs the references, status changes, settlement context and reconciliation records required to support customers and close financial workflows.

1. Collect

Present the right payment experience

Use the collection flow and payment method options approved for the relevant customer, product and region.

2. Operate

Follow activity as it changes

Keep payment status, exceptions, refunds and business references visible to the people responsible for the customer journey.

3. Reconcile

Close the financial loop

Connect completed activity to settlement, reporting and finance records so follow-up work is grounded in the correct data.