The ATM reconciliation software solution provides all ATM transaction (cash relplenishments, withdrawl, transfer, POS, eCommerce), we provide end to end solutions as per bank requirement. The bank user can download NFS raw data files from NPCI portal and settlement with all different ATM network as NFS, VISA, MasterCard, Rupay, Mobile Banking, Digipurse, IRCTC Prepaid, IMPS, UPI (Unified Payment Interface), DFS (Discover Financial Services), ICD(Interoperable Cash Deposit), AEPS (Aadhar Enable Payment System), Aadhar Pay, BBPS (Bharat Bill Pay System), Acquirer POS, Payment Gateway.
Scope of work :
POS Transaction.
IMPS Transaction.
On-us Transaction.
Issuer Transaction.
Acquirer Transaction.
Customized Report etc.
E-Commerce Transaction.
Key Features :
User friendly.
Customized MIS.
Reports on clicks.
Workflow to review and settlement.
Web based application (FTP server).
Insert downloaded file from NPCI portal.
Compiled all transaction as per bank’s requirement.
Generate .txt, .xls, .doc, .xml etc. as per user requirement.