FlowOps

Money moving without visibility
is already costing you.

Manual reconciliations, untracked payins, unautomated accounting entries — these are errors costing money every day. We automate and orchestrate your company's financial flows so treasury operates with precision, speed, and full control.

ISO 27001 + PCI DSS·Integration with Stripe, SPEI, and 10+ providers·Real-time financial operations
72 hrs

Average time a treasury team spends closing manual reconciliations per month.

3-5%

Percentage of revenue lost to reconciliation errors not detected in time.

0 visibility

Most companies don't know in real time how much money comes in, goes out, and where it is.

From manual processes to automated financial operations

Your finance team shouldn't be
a bottleneck.

We connect the systems that move your money so treasury stops reconciling in Excel and starts operating in real time.

Every payment you process manually is an error waiting to happen.

We digitize and automate collection and payment processes. Integrations with Stripe, Conekta, PayPal, and SPEI for payins, payouts, subscriptions, and revenue distribution — with configurable business rules and real-time visibility into every transaction.

InsuranceRetailFintechSaaSMarketplace

Partners: Stripe · Conekta · PayPal · SPEI

Integration with 10+ payment providers in a single layer

How we work

From financial assessment
to automated flow.

Every step has a concrete deliverable. No surprises.

Financial flow diagnosis

We map current collection, payment, reconciliation, and treasury processes. We identify errors, bottlenecks, and risk points. Deliverable: financial flow map with prioritized findings and recommendations.

We integrate with your financial stack

Insurance sector

Financial automation in the insurance sector.

FlowOps · Insurance

Treasury automation for an insurance company

Context

Mexican insurance company with high volume of broker policies, direct client income, and claims reimbursements — all operated with manual processes generating errors and delays in reconciliations.

Problem

The treasury team manually processed reconciliations between brokers, direct payments, and claims. Every monthly close required days of manual work with high error risk.

Intervention

Vinneren automates the complete treasury track — from payment reception to policy reconciliation and automatic accounting entry.

Does your financial operation face a similar challenge?

Let's talk →
ISO 27001

Certified information security management. Every financial flow we build meets international data protection standards.

PCI DSS

Payment processing security standards compliance. Card data and transactions protected in every integration.

LET'S TALK

Is your treasury team still
reconciling manually?

We'll tell you if we can automate your financial flows — and how much time and money that could save your operation.

Respuesta en menos de 24 horas · Sin pitch de ventas