The Financial Assurance & Analytics Page
Automated Revenue Assurance
Stop Revenue Leakage Before It Starts
Protect your margins with an automated settlement engine, powered by Escher’s Retail Intelligence, that reconciles every transaction across your physical and digital network in real time.

Across third-party partners, bill payments, and logistics carriers, cash handling errors and data mismatches are inevitable. Manual reconciliation is slow, error-prone, and routinely produces material untraceable revenue loss.
Blind spots in the cash cycle and delayed settlement data prevent finance teams from seeing the true P&L of the network. The result: trapped working capital and an inability to identify unprofitable partner relationships.

Close the books faster and with absolute confidence. Automate the reconciliation of cash, stock, and third-party payments, recovering lost revenue and freeing finance teams from manual data entry to focus on strategic yield management.
Every event, from a stamp sale to a bill payment, is captured with granular financial metadata and secured in Escher’s immutable transaction log, matching POS data to backend ERPs in real time.
Automatically calculate and disburse commissions to franchise partners and third-party agencies based on accurate, real-time transaction data.
Escher’s Retail Intelligence applies ML-driven analytics to continuously scan cash handling and inventory for irregularities, alerting on potential internal theft or process errors.

Escher’s Retail Analytics solution provides the financial backbone for national posts, enabling them to move from monthly to daily settlement cycles. By automating revenue assurance, operators recover percentage points of margin previously lost to leakage.
