Finance overview brings weekly payouts, deposits, and items for review into a single view, right alongside the platform that sold the tickets. Instead of piecing together numbers from a processor dashboard, a bank statement, and a spreadsheet, your team opens one screen and sees where the money stands.
This matters because settlement day moves fast and questions come from every direction: a promoter wants a number, an accountant wants a GL code, an owner wants to know what cleared. Finance overview gives you a single source to answer all of it, so closing the books stops being a scavenger hunt and starts being a quick check.