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Reconcile
Transaction reconciliation & settlement
Automated reconciliation across MNOs, banks, and internal ledgers. Matches transactions, identifies discrepancies, and generates settlement reports with full regulatory audit trails.
Key Capabilities
Multi-source reconciliation (MNO, bank, internal ledger)
Automated transaction matching with fuzzy rules
Discrepancy detection and alerting
Settlement report generation (daily, weekly, monthly)
Regulatory-compliant audit trail
Bulk reconciliation for high-volume merchants
API Endpoints
api.ominihub.com
POST/v1/reconcile/run
GET/v1/reconcile/reports/{runId}
GET/v1/reconcile/discrepancies