Revenue Management & Billing Services.

Accurate billing. Transparent revenue. Stronger financial control.

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.

Reliable Infrastructure. Real-Time Visibility. Reduced Risk.

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.

What Airtree’s Delivers

Airtree works with your product, operations, and finance teams to:

Pricing Design & Optimization Services

Airtree works with your product, operations, and finance teams to:

Outcome: Clearer pricing logic, fewer exceptions, and improved margins.

Billing Operations Management

We support your billing cycle from start to finish.
Outcome: Faster, more accurate, and dispute-free billing.

Revenue Assurance & Leakage Prevention

Airtree performs periodic reviews to ensure:

Outcome: Higher realized revenue and reduced operational risk.

Implementation Support for Pricing & Billing Platforms

You may use core banking, CBS add-ons, or third-party billing modules. Airtree provides:
Outcome: Your billing environment runs exactly as intended without relying on scattered in-house expertise.

Ongoing Managed Services

Airtree can act as your extended revenue operations team. We offer:

Outcome: Continuous accuracy and predictable revenue flow.

Use Cases where Airtree makes an Impact

For Banks:

  • Retail fee structures
  • Corporate banking billing
  • ATM and transaction fee management
  • Loan & deposit pricing logic
  • Partner revenue settlement


For NBFCs:

  • Loan processing fees
  • Penalty and interest calculations
  • Branch-level reconciliation


For Fintechs & Payment Providers:

  • Merchant fee calculations
  • Partner revenue splits
  • Subscription or usage-based billing
  • Settlement support

Why Institutions Work with Airtree

Specialized Financial Ops Expertise

Deep understanding of banking products, fee models, and operational workflows.

Reduced Revenue Leakage

Structured processes and checks ensure consistent billing across channels.

Better Pricing Visibility for Leadership

Clear documentation and dashboards for decision-makers.

Strengthened Compliance Posture

Rules-based billing reduces disputes, audit findings, and regulatory exposure.

Lower Operational Load on Internal Teams

We handle the heavy lifting so finance, ops, and product teams can focus on growth.

Strengthen your revenue operations with accuracy and consistency.

Talk to our team about how Airtree can support your billing and pricing processes.