Reconcilation Automation for Japanese e-commerce

Automate the reconciliation of PayPay and Rakuten Pay payments up to discrepancy detection.

reconcpay.quest provides a reconciliation workflow that consolidates incoming data from multiple payment sources, making it easier to identify the cause of discrepancies. It features real-time discrepancy alerts, supports multi-currency consistency, and is designed with Japan's tax reporting operations in mind.

  • Reduce missed issues with discrepancy alerts
  • JPY-based compliance report design
  • Reduce operational workload through gateway integration
Gateway reconciliation snapshot
Live discrepancy alerts
Gateway
Status
Action
PayPay
Discrepancy found
Rakuten Pay
Matched
Other processors
Pending
Note: This is based on an allocation (reconciliation) design that is resilient to differences in incoming payment data formats.
Integration examples

How reconcpay.quest keeps reconciliation tidy

From gateway ingestion to an audit-ready trail

A review-style flow that automates discrepancies across popular Japanese payment gateways, standardizes records, and flags the items that need attention.

  1. Ingest payment gateway data

    Pulls reconciliation inputs from PayPay and Rakuten Pay datasets so your team can start from the same source of truth.

  2. Standardize & normalize fields

    Maps gateway-specific formats into a consistent structure, including payment identifiers and amounts, so comparisons stay reliable.

  3. Flag discrepancies in real time

    Detects mismatches and generates clear discrepancy alerts for fast review, reducing manual spreadsheet work.

  4. Keep an audit trail

    Preserves decision context for each flagged item, supporting Japan’s tax reporting workflow with traceable history.

What your reconciliation team gets

  • Fewer surprises during month-end close.
  • Consistent comparisons across gateways.
  • A review-ready discrepancy log for compliance.

reconcpay.quest

Difference alert, rule evaluation, multi-currency standardization, audit support records

Integrate top-up reconciliation data such as PayPay and Rakuten Pay to move toward operations that never miss discrepancies. Based on the consistency of JPTAX/transaction statements, we organize everything into an audit-explainable format.

Real-time difference alerts

Detect differences in incoming payment and settlement data, and prioritize displaying only transactions that need confirmation. Reduce the time required for staff and lower the risk of missing anything.

  • Sort by type of difference
  • Please provide a summary of the possible causes.
  • Record the confirmed status into history

Multi-currency standardization (JPY 기준)

We absorb currency and rate differences across each payment gateway and align everything on a JPY basis. By standardizing the assumptions for the reconciliation report, we make it clear why discrepancies occur.

  • Preserve reference information before and after conversion
  • Rate-related drift—categorized by cause
  • For report formatting automation

Rule-based Inspection Design

With differences in detail formats and missing items in mind, structure the check rules to match operational requirements. Turn manual “gut instinct” into a reproducible judgment.

  • Manage differences in data formats within acceptable limits
  • Exception conditions should be clearly defined as rules
  • Preserve the change history of the judgment logic

Audit-ready records (can be explained during an audit)

From detecting differences through to recording the confirmation results, save everything in a traceable format. During an audit, you can quickly present the evidence required.

  • Approval and confirmation log
  • Output report evidence link
  • Easy handover within the team

Integration examples

Recon automation for PayPay and Rakuten Pay

reconcpay.quest connects to popular Japanese payment gateways, matches transactions to your settlement records, and flags discrepancies in near real time. Review timing can vary by processor reports and payout schedules.

PayPay

Settlement matching with discrepancy alerts

We normalize deposit and fee lines, then surface exceptions when totals or metadata don’t reconcile cleanly. Your team reviews only what needs attention.

Discrepancy alerts Audit-friendly logs
Rakuten Pay

Operational review that fits monthly reporting

When gateway exports shift in format, reconcpay.quest helps keep your reconciliation workflow consistent, so tax reporting remains aligned with your settlement evidence.

Format drift awareness Reporting alignment support
Multi-currency behavior

Instant checks across currencies

For teams managing multi-currency activity, the platform highlights where currency conversion timing or rounding causes differences, so you can resolve them before month-end review.

Discrepancy triage Rounding transparency
Review timing may vary. Gateway report availability, payout cadence, and settlement export delays can affect when discrepancies appear.

Want to see how reconcpay.quest fits your gateway setup? Request a demo and we’ll map your current reconciliation steps to an automated workflow across processors.

View the reconciliation workflow

Pricing tiers

Mid-sized EC teams can start small, then scale reconciliation automation across PayPay and Rakuten Pay, with multi-currency discrepancy alerts and Japan-ready reporting support.

Starter

For teams standardizing gateway reconciliation.

¥49,800/month
  • PayPay Inbound Payment Reconciliation Automatic Matching
  • Rakuten Pay Basic Difference Alert
  • CSV output (for confirmation)
  • Email support

Growth

For ongoing discrepancy handling and operational reporting.

¥119,800/month
  • Real-time difference alerts (priority-based)
  • Multi-currency settlement (aligned with JPY)
  • Trade data format difference auto-formatting
  • Tax report summary
  • Priority support

Enterprise

For multi-site operations and stronger governance.

Custom/month
  • Gateway-by-gateway operating rule settings
  • Audit Log (Change History)
  • Report Output: Individual Design
  • SLA and Implementation Support

Clear pricing. No hidden fees for recon workflow automation. Implementation scope is confirmed during your demo so you know exactly what is included.

Includes
Discrepancy alerts, reconciliation workflow, and gateway integration monitoring
Add-ons
Expanded reporting formats and dedicated onboarding support (quoted)

FAQ: About reconcpay.quest

I put together an alert on differences, an overview of the coverage, and practical notes regarding tax and legal matters.

Disclaimer

This page is intended for general information purposes only and does not constitute tax or legal advice. Please be sure to confirm your final decision with a professional.

Contact / Request a demo

We’ll guide you through workflow design to automate reconciliation of incoming payments for payment service settlements, and to detect real-time differences across multiple gateways including PayPay / Rakuten Pay.

Before sending: This form is for registration for the “Demo (Workflow Design Consultation).” We will contact you as soon as possible.

reconcpay.quest

Location
1-2-3 Shibuya, Shibuya City, Tokyo 150-0002, Japan

Difference Alerts, supports managing multi-currency (aligned on JPY as the 기준) and organizing operational flows for Japanese tax reporting from an operational perspective.

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Blog

Settle payment reconciliation operations by designing from discrepancies.

We’ve compiled a practical, hands-on guide for automating inbound reconciliation across multiple gateways, including PayPay / Rakuten Pay. First, open the article you’re most interested in.

Difference Alert

How to Automate Deposits Reconciliation for PayPay and Rakuten Pay: Difference Alert Operations Guide

We explain the operational design for early detection of discrepancies between deposit data and payment processing intermediary reports, and how to reflect them in the reconciliation flow.

Multi-currency

Multicurrency reconciliation for Japan EC: tips for detecting JPY-based differences and keeping reports consistent

From the perspective of JPY conversion assumptions, rounding, and report consistency, let’s organize a procedure to operate difference checks without wavering.

Migration check

A reconciliation design that’s strong against differences in payment processing data formats: A migration checklist from manual processing

CSV field variations, column meanings, key design. We translate tacit knowledge from manual work into reproducible rules.