Payment Infrastructure
Reconciliation & Settlement
Close the books automatically
Presentation
Overview
Reconciliation is where the theoretical correctness of a payments system meets the messy reality of acquirer files, timing differences and fee structures that rarely match your internal expectations exactly. Pay Engineers builds reconciliation and settlement infrastructure that automates the matching work finance teams have traditionally done by hand in spreadsheets, while giving them clear, actionable visibility into anything that does not match automatically.
We start from the acquirer, processor or scheme files you actually receive, however inconsistent their formats, and build parsers and matching logic specifically tuned to those formats and the discrepancy patterns your business experiences. This is not a generic reconciliation tool; it is infrastructure built around your actual settlement partners and transaction patterns.
The goal is not just automation for its own sake, but faster, more confident month-end and day-end closes, with exceptions surfaced early enough to investigate rather than discovered during a stressful close process.
Who This Is For
- Finance teams currently reconciling settlement files manually in spreadsheets, with significant time spent chasing discrepancies
- PSPs and merchants processing across multiple acquirers with different file formats and settlement timings
- Businesses that have experienced settlement discrepancies going unnoticed for too long due to slow manual processes
- Any payments business preparing for financial audit and needing a defensible, automated reconciliation trail
What You Get
- File parsers built specifically for the acquirer, scheme or processor file formats you receive
- Matching rules that reconcile transactions, fees and settlements against your internal records automatically
- An exception workbench where finance and operations staff can investigate and resolve unmatched or discrepant items efficiently
- Settlement dashboards giving real-time visibility into cleared, pending and exception-flagged funds
Technical Approach
The platform is built on Laravel, with dedicated ETL pipelines handling the ingestion, normalisation and transformation of acquirer and scheme files, whatever their native format, delivery mechanism or update frequency. SFTP connectors automate file retrieval from partners who deliver settlement data that way, removing a common source of manual, error-prone process in finance operations.
PostgreSQL stores both the normalised settlement data and the matching results, with a clear, queryable trail of how each match was made, which is essential when an auditor or a partner disputes a reconciliation outcome. Matching rules are configured per acquirer or file type, reflecting the reality that fee structures, timing conventions and reference formats differ meaningfully between partners, and a single generic matching algorithm cannot handle all of them equally well.
Delivery Process
- Discovery and detailed review of the settlement file formats, volumes and current reconciliation pain points across your acquirers
- Matching rule and exception workflow design, validated against real historical settlement data from your business
- Sprint-based build of parsers and matching engines, prioritised by acquirer volume or discrepancy history
- Parallel-run testing against your existing manual process to validate matching accuracy before cutover
- Rollout with close monitoring during your first live month-end or day-end close on the new system
Outcomes and Benefits
- Dramatically reduced manual reconciliation effort, freeing finance staff for higher-value analysis work
- Faster, more confident closes with exceptions surfaced early rather than discovered under deadline pressure
- A defensible, automated audit trail for reconciliation decisions, valuable for external audit and partner disputes
- Scalable reconciliation infrastructure that can absorb new acquirers or file formats as your business grows
Technologies
FAQ
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