Append-only by design
We never update or delete a transaction row. Corrections happen through signed reversals, so the audit trail is always complete and tamper-evident.
What every entry contains
- Account references for both sides of the move.
- Amount, currency, and human-readable note.
- Signed reference number and timestamp to the millisecond.
- Settlement status — submitted, processing, or settled.
Exports and reconciliation
Pull CSV, JSON, or programmatic feeds against your own account. Treasury teams reconcile daily; some run live integrations and never close the books manually again.
