An NBFC required a robust Pay-in and Payout system to automate collections and disbursements for loan processing, refunds, and vendor payments. The objective was to reduce manual effort and improve settlement accuracy.
Manual payout processing caused delays, reconciliation mismatches, and limited visibility into daily fund flow. The organization also needed a solution that could scale with increasing transaction volume while remaining compliant.
We implemented an automated Pay-in & Payout infrastructure using secure APIs, bulk disbursement capabilities, virtual account mapping, and automated reconciliation reports. The solution was integrated with the client’s existing systems for seamless operations.
Reduced payout processing time by 70%
Improved accuracy in settlements and reconciliation
Enhanced real-time visibility into cash flow
Significantly reduced operational overhead