
Financial Ledger Inspector App
Spayon LLC
Internal ledger debugger for a multi-vendor payment platform. Compares wallet balances against a double-entry ledger in real time, flags discrepancies per vendor, and provides a full audit trail of journal entries — so ops can catch and investigate balance drift before it becomes a financial integrity issue.
The platform manages money flowing through multiple layers: vendor wallets (what vendors think they have), a historical snapshot layer (what the system recorded at a point in time), and a double-entry ledger (the authoritative accounting record). Keeping these three in sync is the core problem the tool solves. At the platform level, the Dashboard surfaces aggregate health — total vendor liquidity in USDT, fee revenue broken down by deposit and withdrawal, gateway receipt flows in both AMD and USDT, and reserve account balances covering withdrawals, refunds, and chargebacks. This gives a one-glance read on whether the platform's books are clean.
Services Provided
Target Regions
Key Features
- Dashboard
- Vendor Account View
- Reconciliation
- Journal Entries
Technologies Used
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