Dunning and Recovery | Subscription Management
Gateway Reconciliation
Every gateway payout matched to the invoices it settles.
What it does
Inside Gateway Reconciliation.
The gateway, the invoices and the bank agree without a spreadsheet.
01
Payouts split into charges, refunds and fees
02
Charges matched to the invoices they settle
03
Gateway fees posted as they are deducted
04
Unmatched items held in an exception queue
Where it sits
Part of Dunning and Recovery.
Run Gateway Reconciliation against your books.
A working session on your structure and a month of your documents.
