Features organised around travel finance jobs.
Start with the job your team needs to fix, then use the payment, reconciliation, cost-control and reporting features that support it.
Collect payment without creating finance clean-up.
Give customers a smoother way to pay while keeping the booking reference and finance trail intact.
Payment links
Secure requests for deposits, balances, amendments and ad hoc collection.
See how we send payment linksEmbedded checkout
A branded payment flow inside your website or booking journey.
See how we embed checkoutPayment plans
Deposits, instalments, reminders and balance payments around the travel timeline.
See how we structure payment plansControl what happens after the payment.
Features become more useful when they reduce finance ambiguity after the customer has paid.
Automatic surcharging
Detect eligible cards and keep fee recovery evidence attached to the booking.
See how we recover eligible feesReconciliation
Match bookings, transactions, fees, refunds and settlements with less spreadsheet work.
See how we automate reconciliationFinancial protection data
Support ATOL, trust, protected-funds and internal reporting conversations.
See how we evidence protected fundsPlaybooks
Turn repeated finance processes and edge cases into workflows your team can reuse.
Browse playbooksLets map this to your workflow...
Show us how your bookings, payments and reporting work today and we will help identify the simplest & cleanest starting point.