Rede Reconciliation

Reconcile Rede transactions from day one

Built for finance, operations, and payments teams at PSPs, sub-acquirers, and marketplaces that process through Rede.

Deploy in days, automate your reconciliation, and gain full visibility and control over every transaction.

Use cases included in this template

Pre-configured reconciliation and control workflows, ready to deploy. Each use case runs continuously and flags discrepancies automatically.

Pre-built KPIs, ready from day one

Every Rede template includes pre-configured dashboards so your team gets real-time visibility without building reports from scratch.

Capture Control

Daily Costs

Cost Control

Chargeback Control

Batch Control

Installment Batch Control

Settlement Control

Bank Reconciliation

Transaction Life Cycle

What you need to get started

Fast implementation of the Rede template requires the following data sources:

Rede files
  • Rede_EESA
  • Rede_EEVD
  • Rede_EEVC
  • Rede_EEFI
Internal parameters
  • Cost Engine
  • Transaction Type Engine
Internal sources
  • Bank Statement
  • Internal Database
General requirements
  • Access to your internal database with all necessary information and structure.
  • All required files for each use case must be available.

Ready to reconcile Rede from day one?


See how the Rede template works with your data. Our team can walk you through a personalized demo tailored to your payment stack.

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