QRecon automatically syncs payout activity, validates balances, and prepares reconciliation-ready accounting entries across your financial systems.
Charges, refunds, fees, disputes
Settlements, payouts, refunds
Groups payouts, scores trust, validates balances, and flags exceptions for review.
Structured journal entries, clearing validation & reconciliation.
Charges, refunds, fees, disputes, payouts
Settlement reports, payout sync, refunds
Payout grouping, trust scoring, validation, and reconciliation intelligence.
Structured accounting entries, clearing validation & reconciliation.
Primary payout sources
Where reconciliation lands
Future transaction correlation