Automated Treasury & Fee Sweeping

Your revenue should collect itself.

Automate how your platform collects fees, segregates funds, and manages liquidity across multiple currencies and accounts — so your finance team can focus on strategy, not month-end firefighting.

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From manual month-end to real-time automation

Instant Revenue Realisation

Instant Revenue Realisation

Platform fees, subscription charges, and interchange revenue are swept automatically into your corporate accounts on a per-transaction basis — no waiting for month-end.

Automated Safeguarding

Automated Safeguarding

User funds are natively segregated from your operating capital at all times — keeping you continuously compliant and ready for any regulatory audit.

Treasury Efficiency

Treasury Efficiency

Set programmatic rules to manage currency balances and ensure you always have the right liquidity in the right place to fund user payouts.

before integrated finance

Days lost at month-end calculating fees, moving money, and proving funds are safe

Finance teams spent days manually calculating platform fees, moving money between accounts to maintain liquidity, and producing evidence to prove customer funds were properly safeguarded. Every month-end was a scramble — and a regulatory risk.

Integrated Finance

with integrated finance

Revenue collected, funds segregated, and liquidity managed — automatically

Operational Sweeps instantly routes your commissions and interchange revenue into corporate accounts the moment a transaction settles — while strictly segregating and safeguarding end-user funds in parallel. Month-end becomes a review, not a rescue operation.

CoreOS HUB

Every fee collected. Every transaction. Automatically.

Operational Sweeps automatically parses platform fees, subscription charges, and interchange revenue from underlying client balances the moment they settle — routing each portion to the right account without any manual finance team intervention. What used to take days at month-end now happens in real time, every time.

Multi-Currency Sub-Ledgers

Safeguarding that runs continuously — not just at audit time

Multi-currency sub-ledgers natively segregate user funds from your operating capital at all times — not just when an auditor comes calling. Regulators get continuous proof of compliance, and your team gets frictionless audits instead of last-minute evidence hunts.

Banking HUB

Always the right liquidity. Always in the right place.

Set programmatic rules to maintain the right currency balances across all your accounts — and let the platform rebalance automatically. AI agents continuously scan your transaction streams for anomalies like unexpected drops in fee collections, alerting your finance team before a problem becomes a crisis.

The platform that gets smarter the longer you use it

Integrated Finance doesn't just help you launch — it keeps working in the background, automating the compliance and operational tasks that would otherwise eat up your team's time.

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Safeguarding that never sleeps

User funds are natively segregated from your operating capital at all times — giving regulators continuous proof of compliance without your team having to produce it manually.

Smarter liquidity over time

As your payment volumes grow, Integrated Finance surfaces richer patterns in your cash flows — helping you optimise liquidity rules and reduce idle capital without adding treasury headcount.

Fee sweeping on autopilot

Platform fees, subscription charges, and interchange revenue are routed into the right accounts automatically the moment each transaction settles — no manual finance team intervention required.

Anomaly detection, always on

AI agents continuously scan your transaction streams for statistical anomalies — like unexpected drops in fee collections — alerting your team before a problem reaches month-end close.

Safeguarding that never sleeps

User funds are natively segregated from your operating capital at all times — giving regulators continuous proof of compliance without your team having to produce it manually.

Smarter liquidity over time

As your payment volumes grow, Integrated Finance surfaces richer patterns in your cash flows — helping you optimise liquidity rules and reduce idle capital without adding treasury headcount.

Fee sweeping on autopilot

Platform fees, subscription charges, and interchange revenue are routed into the right accounts automatically the moment each transaction settles — no manual finance team intervention required.

Anomaly detection, always on

AI agents continuously scan your transaction streams for statistical anomalies — like unexpected drops in fee collections — alerting your team before a problem reaches month-end close.

Frequently asked questions

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