Siemens Gateway Protocol

Settlement

Stablecoin settlement design for lean merchant finance teams

What finance teams actually need after a payment confirms: routing, batching, and clean reporting.

Most merchant pain appears after funds arrive. Settlement products need to describe operational states, batching rules, and treasury outcomes in plain language.

  1. Receive funds and attach them to merchant context.

  2. Apply sweep, split, or hold rules.

  3. Export accounting-ready settlement views.

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