Cash flow follow-up

Automatically refresh users’ financial data

Optimise risk

Up-to-date data helps you better understand a user’s finances - improving assessments and optimising your risk level.

Reduce manual verifications

Automatically refresh transaction data to verify that a payment reached the right destination.

Improve user experience

Create a friction-free experience by continuously retrieving data without requiring the user to be present.

How cash flow follow-up works

Use case provided by

Account Aggregation

Get access to a broad range of account data and quality, real-time financial information from banks and financial institutions across Europe.

Data enrichment

Transform raw, unfiltered financial data into valuable information. We categorise transactions and provide insights so you can deliver better data-driven services.

Get started with Tink

Contact our team to learn more about what we can help you build – or create an account to get started right away.

Contact our team to learn more about our premium solutions or create a free account to get started right away.