Reports
Card payments daily reports
3min
financial settlement & reconciliation to assist partners with settlement and reconciliation, cross river provides consolidated daily reports of payment transaction and chargeback activity in finance and accounting, financial settlement and reconciliation reporting are essential reporting involves verifying and balancing financial transactions this ensures control, accuracy, and transparency in financial records use daily reports to track the flow of money in and out of a business identify any errors or discrepancies in financial records prepare financial statements comply with regulatory requirements stay on top of chargeback status benefits address potential risks optimize cash flows make strategic decisions in a timely way based on the organization’s current financial position daily report types daily settlement (detailed) docid\ husoby01e tbgt0myyqr2 daily settlement (summary) docid\ dq2yyaaxm4ftwjmrjlstd daily exceptions docid\ vo1s3lksbwaa7cqpsqios daily chargeback report docid\ plyd5ihqt razdstrin08