Problem → solution
Payment Settlements Don't Match What You Sold
Gateway deposits, POS totals, and accounting entries never line up without manual work.
Sound familiar?
- Finance re-enters sales from payment portals
- Refunds show up days later in different systems
- UPI and card splits hard to audit
How Zamyu helps
- Payments connected to the same sale record as POS
- Settlement views aligned with operational reporting
- Integrations with Razorpay, Stripe, and accounting tools
Related questions
Razorpay, Stripe, PhonePe, Paytm, UPI, cards, and cash—with context tied to each sale.