FinBridge360: connecting payments, ERP systems and financial intelligence
Modern businesses process transactions across multiple payment gateways, banking systems, ERP applications, and financial platforms.
Without automation, organizations face reconciliation delays, posting errors, compliance risks, and reduced financial visibility.
FinBridge360 provides a secure and scalable integration platform that automates payment processing, ledger posting, transaction reconciliation, exception management, and financial reporting across the enterprise. Built around Microsoft Business Central and modern payment ecosystems, FinBridge360 transforms financial operations from manual processing to intelligent automation. Based on the capabilities described in FinBridge360 Integrated Solution_Generic.pdf
Without automation, finance falls behind
Transactions flow through many gateways, banks and ERP applications. Manual work brings reconciliation delays, posting errors and compliance risk. FinBridge360 bridges the gap between payment ecosystems and enterprise finance systems.
Core capabilities
Six connected capabilities. Select one to see what it covers.
Payment gateway integration
Connect multiple payment platforms within a unified financial architecture.
Supported platforms
- Authorize.Net
- Stripe
- PayPal
- Razorpay
- Custom payment providers
- Banking APIs
Automated financial posting
Eliminate manual journal entry creation.
Capabilities
- Account mapping
- Automatic GL posting
- Customer ledger updates
- Settlement tracking
- Tax calculation support
Reconciliation engine
Match transactions across multiple systems automatically.
Reconciliation sources
- Payment gateways
- ERP ledger entries
- Bank statements
- Settlement reports
Capabilities
- Auto-matching
- Variance analysis
- Exception management
- Recovery processing
- Audit logging
Operations dashboard
Real-time visibility into financial performance.
Insights include
- Payment volume
- Failed transactions
- Settlement status
- Revenue analysis
- Gateway performance
- Reconciliation status
- Exception reporting
Exception and recovery
Ensure no transaction is left behind.
Features
- Failed transaction recovery
- Unmatched transaction tracking
- Approval workflows
- Financial review queue
- Correction processing
Compliance and audit
Ensure complete financial transparency.
Includes
- Full audit trails
- Transaction history
- Approval logs
- Financial controls
- Compliance reports
Financial operations dashboard
Real-time visibility into financial performance. Values below are sample data for illustration.
$1.28M
37
98.4%
12
In review queue
Connect multiple payment platforms within a unified financial architecture.
- Authorize.Net
- Stripe
- PayPal
- Razorpay
- Custom providers
- Banking APIs
The FinBridge360 roadmap adds intelligence on top of clean, reconciled financial data.
- AI transaction classification
- Fraud detection
- Predictive cash flow forecasting
- Financial copilots
- Executive analytics
Industry use cases
Donations and non-profits
Track contributions from multiple payment channels.
Education
Fee and student payment integrations.
Healthcare
Patient payment reconciliation.
Retail and e-commerce
High-volume payment processing and settlements.
Subscription businesses
Recurring payment management.
Business benefits
- Faster month-end closing
- Automated reconciliation
- Reduced manual effort
- Fewer financial errors
- Improved cash visibility
- Enhanced audit readiness
- Better operational control
