The settlement lifecycle
01
Quote
Get optimal routes with locked pricing.
02
Route
Select best path based on cost, speed, liquidity.
03
Execute
Settlement across regulated and liquidity rails.
04
Reconcile
Full transaction visibility and audit trail.
How transactions are routed
Originating bank
→
Bridge core
→
Receiving bank
Each transaction is evaluated, routed, and executed across the most efficient path available.
Events and reporting
Webhook events
Every lifecycle event emits a webhook with status, timestamps, and corridor metadata.
- Quote locked
- Execution started
- Final confirmation
Audit-ready timeline
Exportable JSON/CSV payloads align reconciliation, compliance, and finance teams.
- End-to-end status timeline
- Leg-by-leg execution details
- Reason codes and exceptions
Start a pilot. Validate real-time settlement.
Deploy in a controlled corridor and evaluate routing, cost, and execution performance.
