Rekoo connects your store terminals, e-commerce PSPs, acquirers and banks, then reconciles the whole chain daily, so your finance team sees every leak, resolves every break, and proves the loop closed.
Not another dashboard on top of your PSP. Rekoo cross-checks independent sources against each other, card-present terminal batches and e-commerce settlements in the same ledger, because the truth is in the differences.
Warehouse tables, PSP APIs, POS exports, terminal batches, SFTP drops, even settlement files that arrive by email. A guided wizard maps every column and lets you transform data in SQL, Python or M before it lands.
API · SFTP · POS · Warehouse · CSV →The money loop shows where value drops out of the chain: uncaptured orders, unsettled captures, amount mismatches, deposits that never reached the bank. Including the instruments nobody else reconciles, meal vouchers, delivery platforms, acquirers that invoice fees in aggregate.
Configurable match rules per stage →Triage breaks with reasons: chargeback, refund, settlement lag. Bulk or one by one. Every resolution is archived with who and why: your month-end close pack, always ready.
Full audit trail, filterable archive →A reconciliation platform is only as good as its integration. Ours is guided, included, and proven live before you rely on it.
We connect your flows together with your team: orders, PSPs, terminals, banks. Guided, and included in your subscription.
A full month of close monitoring after go-live, side by side with your controllers. Anything off gets fixed as a priority before you depend on it.
SLA-backed support on the exceptions that block your close, plus a quarterly review of recovered amounts, so the ROI is measured, not assumed.
The Genie watches every stage of your loop and answers like an analyst who never sleeps: what's at risk, what's aging, which processor is late, and the claim email you should send them, drafted. Access is a permission, so you decide who gets to ask.
See it liveEvery customer gets a dedicated sandbox and production environment: schema-level data isolation, promotable configuration, zero cross-tenant access.
We align with your data governance protocols. If policy says your payment data can't sit on GCP or AWS, we adapt and deploy on a local cloud provider of your choice, in France or anywhere else you operate.
Rights live on roles: viewer, finance, director, admin, or roles you define. Every action attributed, every resolution audited.
Two million orders a year is where we start, not where we stop. Reconciled daily, so your data engineers stay on your product, not on matching scripts.