AccountingAndTreasury (v0.0.1)

Domain that handles financial operations including reconciliations, settlements, and payouts. Ensures financial accuracy and compliance across systems.

The AccountingAndTreasury domain is responsible for managing financial integrity across the platform. It encompasses core financial operations such as reconciliations, settlements, and payouts, ensuring that all monetary transactions are accurately tracked, matched, and executed.

This domain acts as the backbone for financial compliance, auditability, and cash flow management. It integrates with internal and external financial systems to reconcile incoming and outgoing transactions, settle collected funds, and initiate timely payouts to merchants(Easy) or platforms(xPay).

The domain’s focus is on maintaining transactional accuracy, safeguarding financial data consistency, and supporting end-to-end treasury operations critical to business trust and financial transparency.

External Overview

External Overview

Collecting workflow (payment, reconciliation, settlement and payout)

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