
Benefit from large-scale operational efficiencies, enhanced customer service, scalability up to a global level and support for digital business models.
SmartStream works with leading companies to implement its AI-enabled solutions to support data-driven organisations. Automation for the right tasks and process is essential to scaling automation programmes – whether it’s to centralise and automate billing, inter-system reconciliations, establish a proactive exceptions-based process, or to adapt a platform to handle both financial and non-financial data.
Reduce costs and operational risk while helping promote better customer service.
Air Data
Reconciliation and data accuracy

Customer Billing
Automate billing records with payments to reduce discrepancies and improve customer satisfaction
Service Usage
Reconcile service usage data with billing for accurate invoicing
Carrier Settlements
Reconcile interconnect billing to ensure accurate network charge settlements
Revenue Sharing
Match interconnect revenue agreements with financial records for correct distribution of revenue among partners
Invoice Matching
Reconcile vendor invoices with POs and receipts to reduce disputes
Supplier Payments
Reconcile supplier payments with invoices for accuracy and timeliness
Fraud Detection
Compare transactional data with expected patterns to identify fraud and revenue leakage
Data Consistency
Ensure revenue data is consistent across systems
Operational Expenses
Match operational expenses with financial records to control expenditure
Capital Expenditures
Align capital expenditure with project budgets for accurate reporting and cost management
Account Balances
Reconcile account balances with payments for accurate account statements
Credit and Collections
Match credits and collections to customer accounts to reduce disputes
Cost Allocation
Align network usage costs with internal models for accurate accounting
Infrastructure Investments
Reconcile investment records with project budgets for accurate reporting
Tax Reporting
Match tax data with financials to ensure compliance and accurate tax reporting
Regulatory Fees
Reconcile regulatory payments with invoices for accurate financial reporting
Performance Metrics
Align financials with KPIs to analyse profitability across different services
Profit Margins
Ensure revenue and cost data align to calculate profit margins
Subscription Billing
Reconcile fees with subscriber data for accurate billing
Usage-Based Charges
Match usage with billing to ensure correct charges
International Roaming
Reconcile roaming charges and data usage for accurate cross-operator billing
Cross-Border Transactions
Automate reconciliation of transactions for accurate global financial reporting