Closing readiness
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Sales growth
- Total profit per day
- For week
- Average sales
- Profit today
EMS connects Entry Tracking, Ledger Exchange, bridge settlement, multi-currency accounts, daily rates and closing—so every balance, rate and obligation stays visible and auditable.
Built for exchange operators, payout teams and finance controllers
When entries, rates, balances and settlements live in separate sheets and chats, teams lose time, context and control.
Entry Tracking, ledger movements and account balances are split across spreadsheets, chats and manual registers.
Teams cannot instantly see who owes whom, what is open or partial, and which rates are still pending.
Manual matching, repeated rate calculations and missing audit trails delay settlement and daily closing.
Manage exchange operations with live exposure, settlement visibility and complete rate history.
Prioritise unresolved obligations by age, member, exchange and status before they become closing risks.
Track linked entries, pending rates, bridge batches and release status from one operational view.
Review wallets, receivables, payables, missing rates and projected profit before saving a snapshot.
Connect receive and send entries, preserve original currency and rate context, and carry every confirmed position into accounts and closing.
0%
Settled today
EMS combines exchange operations, financial control and audit-ready reporting in one platform—from first entry to final close.
0
Sales growth
Select compatible entries
Match receive and send entries, post differences and keep the full settlement trail visible.
Select a role and exchange scope
Access scope


“We can see what is open, what is partially settled and what still needs a rate before closing.”
Operations Team
Exchange Management

“Every settlement, bridge movement and account impact remains linked to the original entry.”
Finance Team
Settlement & Closing
Customplan
For a single branch starting with controlled exchange operations.
Customplan
For active teams managing multiple exchanges and settlement workflows.
Customplan
For multi-branch operations requiring governance, scale and advanced support.
Understand how EMS handles rates, accounts, settlements, closing and operational control.
EMS is an exchange management platform that connects entry tracking, ledger exchange, rates, accounts, settlements, bridge operations and closing in one auditable workspace.
Every entry stores the rate applied at the time it was recorded, so historical positions stay accurate even after daily rates change.
Yes. Each branch or exchange can run as its own workspace, with consolidated reporting across all of them.
Settlements are matched against compatible entries, and bridge movements carry their own rate and commission controls before release.
Guided onboarding covers data migration, workspace setup and team training, with priority support available on Enterprise Control.
Book a guided EMS walkthrough tailored to your exchange workflows, accounts and closing process.