Settlement Currency
Currency received after processing
Settlement currency determines FX exposure and accounting treatment. Mismatch between revenue currency and cost base increases volatility risk. Treasury alignment is necessary.
Currency received after processing
Settlement currency determines FX exposure and accounting treatment. Mismatch between revenue currency and cost base increases volatility risk. Treasury alignment is necessary.
Processor reports and ERP integrations
Validation that a transaction is included in a block
Configured number of confirmations required
Third party used for conversion and payout
Complete record of transaction and account events
Difference between explicit fee and embedded spread