Money truth across providers
Reconcile payments, manage settlement, operate merchants, and understand money movement from one control plane.

Typical for
Why operations teams struggle
Fragmented settlement
Every provider settles on its own clock, in its own format, to its own statement. Finance teams reconstruct the picture by hand.
Provider mismatch
PSP reports, bank statements, and internal ledgers never quite match. Investigating a single discrepancy can take hours.
Manual reconciliation
Spreadsheets, CSV exports, and ad-hoc scripts hold operations together. The process is fragile and undocumented.
Multi-merchant complexity
Marketplaces and multi-brand retailers juggle dozens of merchant entities, each with its own rails, payouts, and reserves.
No single source of truth
When finance, ops, and engineering ask the same question, they get three different answers, none of them fully right.
The operational layer
Multi-provider reconciliation
Match provider truth, settlement, and ledger activity in one place
Treasury visibility
See reserves, balances, and distribution rules across currencies and entities
Routing intelligence
Understand which provider, rail, and method actually performs for each segment
Merchant operations
Operate multiple merchants, rails, payouts, and health from one control plane
Auditability
Ledger-backed history of every payment, settlement, and adjustment, queryable, exportable, immutable
How operations flow
From raw provider events to a single source of operational truth.
Providers and rails settling independently
Settlement + reconciliation + merchant ops
Money truth across the platform
Providers and rails settle
Each PSP, bank, wallet, and rail produces its own settlement and reporting on its own clock.
Orangepill ingests provider truth
Settlement files, webhook events, and statement data normalize into a single canonical model.
Reconciliation runs continuously
Every transaction is matched across provider truth, internal ledger, and downstream systems. Mismatches surface immediately.
Merchant-scoped visibility
Marketplaces and multi-brand operators see per-merchant payouts, reserves, and health, without rebuilding the dashboard.
Audit trail and export
Every event is queryable and exportable for finance, audit, and compliance. The ledger is the source of truth.
Works with your stack
Powering financial operations
Marketplace operations - provider settlement reconciliation across multiple payout providers
Pharmacy chain - multi-brand merchant operations with per-store reserves and payouts
Casino wallet platform - settlement truth across cards, transfers, and instant payment rails
Inside the operational layer
Match provider truth, settlement, and ledger activity in one place. Mismatches surface immediately, with full traceability back to the originating payment.
Operate multiple merchants, payment artifacts, rails, and health from one control plane. Designed for marketplaces and multi-brand retailers.
Understand reserves, settlement balances, and distribution rules across currencies and entities. Finance and operations share the same view.
Built for production
What to read next
Marketplace payouts without reconciliation chaos
Operator memo on how serious marketplaces design the seller payout layer so finance does not spend the week chasing PSP reports.
Why payment orchestration matters in LATAM
The operator case for orchestration across conversion, recovery, and operations, including the honest trade-offs.
Revenue recovery
Recovery flows that close the loop on settlement and reconciliation.
Wallets & loyalty
Wallets and stored balances managed by the same ledger and operational view.