Treasury & reconciliation agent - syncing ledgers and proving every settlement
The Treasury & Reconciliation Agent manages liquidity, wallet allocation, and reconciliation — tagging flows for reporting and syncing ledgers across systems
Role in the network
Assign settlement wallets and sub-wallets
Apply programmable tags (corridor, counterparty, purpose)
Produce reconciliation and audit reports
Sync with ERP and accounting systems
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Inputs
Execution results
Tagging schema
Wallet registry
Outputs
Ledger updates
Reconciliation reports
Webhook events (finality, allocation)
Example in Action

Bulk payroll in NGN → PLN
the agent tags transactions by department and generates consolidated reconciliation reports automatically
Key Metrics
Reconciliation time
Tagging coverage
Ledger sync latency
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