Payment data you can close on

Most payment teams know what was processed. Few know what was actually settled, what was withheld, and what the fees really cost.
When you work with multiple PSPs, the data never lines up on its own. That gap lands in finance as unexplained balances, manual fixes, and a close that runs long.
It doesn’t have to work that way.
Download the two-pager to see how Actuals turns multi-PSP payment data into close-ready numbers.
