Glossary

BSP reconciliation

The process of matching BSP sales and remittance statements to internal bookings and orders so ledgers are accurate and exceptions are resolved quickly.

Automated matching relies on clean capture of ticket numbers, commissions, taxes and forms of payment. Exceptions such as exchanges and ADM/ACMs need specialised handling and audit trails.

Related terms

Explore connected concepts

Prefer a walkthrough?

See how the products fit together and discuss your use cases in a live demo.