We're rolling out dashboard capabilities that help operators automate treasury workflows and reduce manual steps across their fleet.
Auto-Payment Recipients
Configure recipients and rules so settlements can run on a schedule you control—reducing repetitive work for high-volume operators.
Exchange Integration
Tighter integration with exchange workflows helps teams rebalance liquidity with fewer touchpoints, while keeping an audit trail for compliance.
Operational Tips
Start with a small subset of machines, validate balances and reporting, then expand automation once your team is comfortable with the new flow.