Payment and banking integrations that auditors and customers trust
We build payment and open-banking integration layers with sagas, resilient API clients, and end-to-end auditability suited to regulated financial domains.

What we engineer
Payment and banking flows
Payment, settlement, and open-banking flows modeled as sagas so multi-step money movement stays consistent.
Resilient API clients
Generated, resilient clients for banking and payment providers with retries, idempotency, and circuit breakers.
Audit and compliance
Complete audit trails and reconciliation so regulated flows are explainable and provable.
Money movement needs consistency, not optimism
In financial flows, partial failures are unacceptable. We model money movement as sagas with compensation, make every external call idempotent and resilient, and keep a full audit trail. The result is integrations that stay consistent under failure and that you can prove correct to auditors.
What you get
Consistent money movement
Sagas and compensation so multi-step flows never end half-done.
Resilient provider links
Idempotent, resilient clients that survive flaky banking APIs.
Provable correctness
Audit trails and reconciliation built for regulated review.
Engagement models
Enterprise Delivery Program
End-to-end implementation of SaaS, integration, modernization, or automation platforms with architecture-led delivery.
Typical scope
- Architecture and implementation team
- Backend, frontend, cloud, data, and QA
- Milestone-based delivery
- Documentation, UAT, launch, and handover
Integration Program
Design and implement production-grade integrations, unified APIs, service agents, webhooks, and data flows.
Typical scope
- CRM, payments, healthcare, marketing, and analytics
- REST, SOAP, GraphQL, events, and webhooks
- Retries, observability, and auditability
- API clients and runbooks
Related case studies
Frequently asked questions
How do you handle partial failures in payments?
We model flows as sagas with compensation and make external calls idempotent, so a failure mid-flow rolls back cleanly rather than leaving money in limbo.
Can you meet audit and reconciliation needs?
Yes. We build complete audit trails and reconciliation into the integration layer so regulated flows are explainable and provable.


