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Reconciliation - Jan 12, 2026

Why channel reconciliation breaks as order volume grows

A practical look at fees, refunds, payouts, settlements, and why finance teams need better operational data before month end.

Channel reconciliation becomes harder when fees, refunds, returns, promotions, reserves, and payout movements are not tied to the operating workflow.

The fix is usually not another spreadsheet. It is a mapped data flow that connects payout detail, order records, cost sources, and accounting rules.

Softofix starts with the audit because the right automation depends on how finance currently reviews exceptions and closes the month.