Banks & NBFCs
Collection infrastructure, settlement reporting, and payment integration that lines up with your core systems — built for high-volume, reconciliation-grade money movement.
Reconciliation, not just collection
Every inflow auto-matched to an invoice, a customer and a settlement line, with smart retries by failure code — so month-end stops depending on someone chasing spreadsheets.
Audit-ready by default
Three-way reconciliation against bank settlement files, immutable logs and regulator-aligned workflows — internal audit and the regulator see the same clean trail you do.
Ops your team can actually run
Real-time dashboards, MIS and exception queues surface only what needs a human — fewer escalations, faster resolution, and a clear view of money in motion.
Integrates with your core
Clean REST APIs and webhooks drop into your core banking, LMS or CRM — no rip-and-replace, no multi-quarter project before you see value.
See BillBasket against your real numbers.
A 30-minute working session. Bring a sample reconciliation problem, a settlement file, or a collection workflow you'd like to fix. We'll show you how the platform handles it.
Book a Demo