Airtree provides end-to-end services that help banks, NBFCs, and fintechs streamline pricing, optimize fee structures, eliminate revenue leakage, and ensure accurate billing across products and channels.
Revenue processes in financial institutions are complex and mistakes are costly.
Financial organizations deal with multiple fee types, exceptions, pricing rules, product bundles, and partner arrangements.
Manual reconciliation, legacy scripts, and fragmented workflows often lead to:
Airtree brings specialized consulting, operations support, and system enablement to help institutions create accurate, transparent, and predictable revenue operations.
Airtree works with your product, operations, and finance teams to:
Outcome: Clearer pricing logic, fewer exceptions, and improved margins.
Outcome: Higher realized revenue and reduced operational risk.
Outcome: Continuous accuracy and predictable revenue flow.
Deep understanding of banking products, fee models, and operational workflows.
Structured processes and checks ensure consistent billing across channels.
Clear documentation and dashboards for decision-makers.
Rules-based billing reduces disputes, audit findings, and regulatory exposure.
We handle the heavy lifting so finance, ops, and product teams can focus on growth.
Talk to our team about how Airtree can support your billing and pricing processes.