Automated Voucher Generation
GL Ledger Accuracy
Real-Time Reconciliation
Streamline accounting processes, enhance transaction integrity, and ensure audit readiness with our robust, automated accounting system for Merchants.
In-Solutions Global Ltd's Merchant Accounting System is designed to automate and streamline accounting for merchants, financial institutions, and payment networks. Our solution simplifies complex merchant transactions, ensures GL ledger accuracy, and provides real-time reconciliation. With automated processes, the need for manual intervention is minimized, providing a fast, efficient, and accurate accounting workflow. Stay compliant and audit-ready while optimizing your financial reporting system.
Our system automates the entire merchant accounting workflow, from transaction entry to GL balancing. By integrating with core banking and payment networks, it ensures real-time reconciliation, data accuracy, and full compliance with financial reporting standards.
Our Merchant Accounting system offers fully integrated solutions, ensuring smooth transaction flow, payment processing, and reconciliation. It allows for seamless integration with core banking and payment networks, helping you efficiently manage merchant data, payments, and reporting.
Our system ensures that all merchant transactions—whether POS, online, or mobile—are processed accurately and quickly. By automating transaction entry and reporting, we provide a reliable solution for high-volume environments.
Easily reconcile merchant transactions by integrating with switch files, merchant payment files, and network incoming files. This feature ensures that all data is aligned, reducing discrepancies and improving financial reporting accuracy.
Our system automatically processes merchant payment files and ensures proper allocation of funds. By automating payment tracking, you can ensure that all merchant payments are settled in a timely and accurate manner.
Handle issuer and acquirer side accounting with ease. Our system supports reconciliation of switch files, cardholder payments, and network data to ensure both ends of the transaction are correctly recorded and aligned for financial accuracy.
Ingest and process various input file formats, including switch, merchant, cardholder, and scheme files (Visa, Mastercard, RuPay). This flexibility enables seamless integration with multiple data sources for holistic accounting.
Generate and authorize vouchers, GL summaries, and audit-compliant reports effortlessly. Our platform includes sample report generation and GL balancing tools to support regulatory and internal audits with confidence.
Our accounting system empowers merchants to automate end-to-end processes—voucher generation, ledger maintenance, reconciliation, and reporting. Reduce manual errors, ensure compliance, and gain real-time financial clarity across issuer, acquirer, and recon levels.
At In-Solutions Global Ltd, we offer a robust Merchant Accounting System that automates transaction processing, reconciliation, and financial reporting for merchants and financial institutions. Our system integrates seamlessly with core banking systems, payment networks, and other financial platforms to ensure end-to-end automation and accuracy. With real-time reconciliation, automated payment settlements, and accurate GL ledger management, our platform provides merchants with the tools they need for transparent, compliant, and efficient accounting practices. Stay ahead of industry demands with our solution.
Close your financial day with confidence. ISG’s Merchant Accounting System streamlines voucher generation, GL posting, and reconciliation across issuer, acquirer, and scheme-level data. Stay audit-ready while reducing manual intervention and operational risk.
+(91)22 4090 5300, +(91)22 4090 6300
hello@insolutionglobal.com
14th Floor, RTech Park, Nirlon Knowledge Park, Western Express Highway, Goregaon, Mumbai - 400063
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