Treasury needs predictable settlement
Configurable settlement schedules and exports that align with how your finance team closes books.
Enterprise
Configurable settlements, reconciliation, security documentation and dedicated support for finance, technology and operations leaders.
Finance, technology and procurement teams need settlement control, audit-ready reconciliation, and security documentation they can defend in review.
Configurable settlement schedules and exports that align with how your finance team closes books.
Match transactions, settlements and payouts with exports your accountants can reconcile without manual workarounds.
PCI DSS, CBE licensing, SOC 2 Type II and penetration-test documentation available on request for vendor review.
How it works
Map your channels, settlement cadence and reconciliation needs with a named account manager.
Set roles and permissions across branches, connect APIs or POS, and prepare compliance documentation for your review.
Launch across channels with priority support, operational reporting and settlement exports your team can act on.
Documentation and operational controls referenced across Kashier product pages — available through the trust center or your account team.
Request the current Attestation of Compliance for card-data security review.
Licensed and regulated by the Central Bank of Egypt.
Independently audited controls and external pen-test results available on request.
Scheduled settlements with channel and method reporting finance can reconcile.
Talk to Sales to align on channels, settlement schedules and compliance needs. A named account manager guides provisioning, integration and go-live.
Related products
Pay suppliers, refunds, and partner commissions to any bank or wallet — with an export your accountant can reconcile line by line.
Exports and operational views that help finance close the books without manual workarounds.
Channel, method and settlement reporting with exports your team can reconcile.
Talk to sales to scope enterprise volumes, custom settlements, and the right setup for your business.
Security & governance
Connect your team through SSO, define roles that match how you actually work, keep sensitive actions behind maker-checker, and limit API access to authorized IP addresses.
Pending approval
Maker-checkerPayout batch PO-1180
1,262,480.00 EGP
Requested by M. Farid · Finance
Refund TX-26702280 · 850.00 EGP
Approved by S. Adel · Owner
Kashier vs others
Most businesses stitch together a bank, an online gateway, a POS vendor and a payout tool. Kashier replaces the pile with one platform.
Others
A different tool for every job
Your setup — four vendors, four contracts, four support lines.
Getting paid — money lands on their schedule, not yours.
Reconciliation — spreadsheets stitched from separate exports.
Payment methods — each new method is a new integration.
Support — ticket queues bounced between vendors.
Trust & compliance — varies by provider — often unclear.
Kashier
One platform for all of it
Your setup — one contract, one dashboard, one team.
Getting paid — settle same-day, T+1 or T+2 — you choose.
Reconciliation — every channel reconciles in one dashboard.
Payment methods — cards, Meeza, wallets, Apple Pay, InstaPay and installments — built in.
Support — a local team in Egypt, in Arabic and English.
Trust & compliance — licensed by the Central Bank of Egypt; PCI DSS Level 1.
Kashier for enterprise
100 or 100,000 transactions a day — regulated rails, audited controls, and documentation your review can rely on.
Kashier mobile
Create links, watch transactions land, and approve actions — with two-factor and biometric login.