Platform

Collect travel payments without losing the booking context.

Payment collection for deposits, balances and ad hoc requests, with every payment tied back to the traveller, booking, departure and reporting trail.

Linkssecure requests for deposits and balances
Checkoutbranded payment journeys
Plansstaged collections tracked by booking

Every collection becomes usable finance data.

The payment record carries the reference, method, amount and timing finance needs for reconciliation, settlement, protection and reporting.

01

Cleaner reconciliation

Each collected payment carries the booking reference, traveller, payment method and timing back to finance. Matching to the booking happens automatically, and any payments that do not fit the expected schedule are surfaced for review instead of getting lost in a weekly spreadsheet rebuild.

Booking reference Per payment
Traveller Linked
Schedule Matched to plan
See how we automate reconciliation
02

Better payment choice

Card, Apple Pay, Google Pay and open-banking account-to-account flows can run alongside each other, so each booking can take the method that fits its value, customer and operating model — without splitting the finance picture into different reports.

Cards Visa · MC · Amex
Wallets Apple · Google
Open banking A2A transfers
See how we route payments
03

Less manual chasing

Live payment status — paid, pending, failed, refunded or overdue — stays visible against the booking. Sales and finance can act before the weekly reconciliation rebuild, with the same view of what is outstanding across travellers and departures.

Status Live per payment
Exceptions Surfaced
Outstanding Per booking
See how we streamline financial operations

Lets 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.