Mastering the fee maze:
How to track, forecast, and reconcile interchange & network fees

Understand your true transaction costs, automatically
Aug 19 • 4 PM ET
Navigating the world of network, and acquirer fees can feel like decoding a black box. In this webinar, we’ll guide you in understanding and navigating the fee complexity and how to make sense of it.
Additionally, we will showcase some of the most common reasons for over-charge issues with networks and acquirers that may be creeping into your bottom line.
Then, we’ll show you how our AI Reconciliation Platform gives you full, out-of-the-box visibility into every fee you’re being charged—without weeks of custom setups or manual reconciliations.
We'll walk you through:
- How easy it is to connect your specific data sources (whether you’re an issuer, acquirer, or PSP)
- Automate your transactional data reconciliation with network or acquirer settlement files.
- Generate detailed, transaction-level fee reports, that auto-update with new data.
- Set up controls and alerts that help you track negotiated rates and surface unexpected costs
This session is for financial operations, data, and payments teams who want to eliminate blind spots, improve cost accuracy, and turn fee data into operational and strategic advantage.