Numbers your board will actually trust.
Revenue, pass rates, payout exposure and cohort behaviour computed from the same ledger that runs the firm β so finance, risk and marketing stop arguing about whose export is right.
Reporting that closes the loop.
Live firm P&L
Fee revenue, payouts, refunds and processing costs against one another, updating continuously.
Cohort economics
Track any intake cohort through pass, funded, payout and churn β with the rule set it was sold under.
Payout forecasting
Projected exposure from accounts approaching profit targets, so treasury funds the right number.
Program comparison
Put two challenge designs side by side on conversion, pass rate and net margin.
Scheduled exports
CSV, Google Sheets or S3 on a schedule, with the same figures the dashboard shows.
BI connectors
Read-only warehouse sync so Looker, Metabase or Power BI query the source, not a copy.
Three teams, three different truths.
Exports that disagree
Finance pulls one number, marketing pulls another, and the discrepancy takes a day to explain before anyone can decide anything.
Always looking backwards
Monthly reporting means you learn a cohort was mispriced six weeks after you stopped being able to do anything about it.
No cohort view
Without per-cohort economics you can't tell a marketing problem from a rule-design problem.
What's included
Standard on every firm running on the platform. No add-on tier, no per-seat unlock.
- 01Revenue by program, region and PSP
- 02Pass and breach rates per phase
- 03Payout exposure and forecast
- 04Cohort retention and re-try rates
- 05Affiliate and IB attribution
- 06Scheduled exports to your BI warehouse
Related in this family
Questions operators ask
Get a reporting pack built on your numbers.
Send a month of historical data and we'll return the same cohort and P&L views you'd run in production.
