Configuration dependent
Reporting & reconciliation
Regulatory and management reporting, bet search, breakdowns and exports, reconciled against the ledger.
The problem
Month end shouldn’t be an archaeology project. If the numbers come from different systems, they won’t agree.
What the platform does
Regulatory and management reporting, flexible breakdowns, bet search and CSV exports come from the same records the wallet and ledger write, and reconciliation checks them.
How it works
Follow it through.
- Ledger
- Reconciliation
- Reports
- Export
- 01
Every bet, round and payment lands on the ledger.
- 02
Reports and breakdowns read from the same records.
- 03
Reconciliation checks balances against the ledger.
- 04
Exports go out as CSV for the operator’s own tools.
Controls
- Ledger reconciliation
- Bet search
- Regulatory return screens
Operator experience
Reports, breakdowns and the regulatory return sit in the back office.
Integration points
- CSV exports
- API access for the operator’s own reporting
Audit & reporting
The audit log is its own report: who did what, and when.
Related capabilities
Let’s talk about what you’re building.
Tell us what you’re building. We’ll tell you plainly what the platform does today and what it would take.