Processes

Perform settlement and reconciliation

How perform settlement and reconciliation are reshaped as AGI capability advances.

ProcessesPerform settlement and reconciliation
Perform settlement and reconciliation — illustrated

Business-as-Code

Read as an executable program — the work decomposed into Code, Generative, Agentic, and Human.

Perform settlement and reconciliation sits inside a larger value-flow — 1 parent structure it composes into. The hierarchy is grounding, not the story: it tells you which aggregate exposure Perform settlement and reconciliation inherits.

Where Perform settlement and reconciliation sits

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How the work flows

Trigger: The receipt of validated interval meter data and corresponding market pricing or contract terms at the end of a trading period.

  1. Retrieve validated generation and consumption meter data
  2. Apply market tariffs and bilateral contract pricing formulas
  3. Generate preliminary settlement statements
  4. Compare preliminary statements against internal shadow settlements
  5. Investigate and resolve identified discrepancies or disputes
  6. Issue final settlement statements and invoices
  7. Authorize funds transfer for financial clearing

Outcome: Financial obligations between parties are accurately calculated, validated, agreed upon, and authorized for payment.

Measured by

Settlement Accuracy RateDispute Resolution Cycle TimeUnreconciled Balance AmountTime To Final Settlement