Kani Solution Overview

The reconciliation, reporting and compliance platform for payments data

Payments data arrives fragmented across processors, schemes and banks, in formats that rarely agree. This one-page overview shows how Kani brings it all together, with a breakdown of what the platform does across reconciliation, reporting and compliance, the capabilities in each area, and the businesses we work with. Read it to see the full picture in a couple of minutes.

Inside, you’ll learn how the Kani platform handles:

Reconciliation

An end-to-end, high-volume reconciliation engine built for the complexities of payments data. Match records across fragmented datasets, automate recurring runs, and track every break to a signed-off resolution.

Reporting & analytics

A flexible reporting suite with pre-formatted and bespoke reports, giving full visibility of transaction, balance and scheme activity from day one. Covers everything from transaction and settlement reporting to card network activity and portfolio analytics.

Compliance & safeguarding

All your regulatory, card scheme, legal and policy obligations managed in one place. Includes end-to-end CASS 15 safeguarding, award-winning QMR and GOC scheme reporting, and a single view of every obligation with status and evidence tracked against each.

 

No form required. Access the overview 👇

Download Kani Solution Overview-Reconciliation, Reporting and Compliance

Related Resources

Handy information

Safeguarding readiness in UK payments: Industry research

New research into how UK payment and e-money institutions are preparing for the FCA's updated CASS 15 safeguarding regime

Safeguarding with Kani: CASS 15 Software for Payments Firms

See how Kani helps APIs and EMIs meet the FCA's CASS 15 safeguarding rules — daily reconciliation, sign-off and audit-ready evidence.

Kani’s automated solution guide

Learn how Kani's suite of reconciliation, reporting & analytics solutions transform complex data handling into a breeze