Batch Settlement Verification
Closes every batch clean — exceptions surface, not surprises.
Core · Transaction Operations
Your agent verifies batch totals, detects out-of-balance conditions, and initiates resubmission workflows before your team even opens their morning queue. Settlement exceptions become a managed task, not a fire drill.
What your agent does
- ◆ Verifies batch totals match expected transaction counts and amounts
- ◆ Detects and categorizes out-of-balance conditions by root cause
- ◆ Initiates resubmission workflows for failed or rejected batches
- ◆ Logs all batch outcomes for settlement audit trails
Common use cases
- Daily batch close verification
- Settlement exception management
- End-of-day reconciliation
Usage & pricing
∞ Unlimited
Token cost only — no per-execution charge. Runs as many times as your team needs.
Available in
Transaction Operations core included
batch settlementbatch balancingsettlement exceptionbatch resubmissiondaily closesettlement verification