Account-level visibility
Track balances and transaction activity across master accounts, sub-accounts, and merchant accounts in one place
Bring transactions, balances, settlements, and account activity into one place with reporting designed for faster reconciliation.

Overview
Reporting & Reconciliation helps teams reduce manual checking by bringing payment, payout, settlement, balance, and account records into one operating view.
Track balances and transaction activity across master accounts, sub-accounts, and merchant accounts in one place
Monitor settlement status, payout history, and settlement details with reports that are easy to reconcile
Export finance-ready reports or integrate directly with your ERP to simplify reconciliation and month-end closing.
Maintain a complete history of transactions, settlements, and balance movements for audit and compliance needs.
Typical scenarios




Access modes
Review balances, settlements, and reports from a centralized dashboard designed for finance teams.
Automatically synchronize reporting data with your ERP, accounting software, or internal systems using our API.
Talk to Singapay
Centralize reporting, automate reconciliation, and keep your finance team aligned with accurate, real-time financial data.