Financial Technology Decision Centre
Understand the controls behind digital financial services: identity, transactions, reconciliation, risk, reporting and integrations.
A practical learning path
- Describe the operating problem and accountable owner.
- Measure the present state and constraints.
- Compare options using explicit criteria.
- Plan adoption, controls, support and measurement.
Decision checklist
- Separate customer channels from core transaction services
- Make reconciliation and exception ownership explicit
- Protect administrative actions with audit trails
- Test failure, reversal and recovery paths
Useful free tools
Common mistakes
- Focusing only on the customer app
- Treating reconciliation as a month-end task
- Embedding provider-specific logic everywhere
Questions for suppliers
- Which assumptions and dependencies are outside the quoted scope?
- How will data be migrated, secured, backed up and returned?
- What evidence demonstrates acceptance and operational readiness?
- Who owns incidents, updates and changes after launch?
Continue learning
Read REVTEK Insights for detailed guides and implementation questions. Educational material explains decisions; commercial service pages describe REVTEK delivery capabilities.
Published by REVTEK Editorial Team · Reviewed 2026-09-23
