For businesses

Travel operations your finance team can trust.

Agencies and corporate travel teams get payments, refunds, settlements and reconciliation on a double-entry ledger with role-based access.

  • Refund decisions by finance roles, never self-service

  • Reconciliation views instead of manual “mark as paid”

  • Emergency controls to pause new transactions safely

Related capabilities

For business

Collections, in context.

Explore collection workflows connected to the booking and customer journey behind each request.

For business

Details that add up.

Explore reconciliation and reporting tools that keep operational records connected and reviewable.