Data exports

Send MCA deal data wherever your team needs it.

Export parsed bank statement data, application details, underwriting results, and funder matching insights so your team can use clean MCA data across reporting, operations, and connected systems.

Exports

Move clean MCA data into the tools that need it.

Data exports help your team use structured deal information outside the platform. Send parsed statement data, application details, underwriting results, and funder matching insights into reporting, operations, finance, or connected systems.

Parsed statement data
Export cash-flow summaries, deposits, balances, negative days, and other parsed bank statement insights for review or reporting.
Application details
Move merchant and deal information into the systems your team uses for operations, reporting, and follow-up.
Underwriting results
Use underwriting signals and review outputs outside the platform when your team needs them for internal workflows.
Funder matching insights
Export matching results and funder fit data so teams can analyze which funders align with each file.
Operational reporting
Send clean deal data into reporting workflows so managers can understand volume, performance, and process efficiency.
Connected systems
Use exports alongside APIs, webhooks, and integrations to keep MCA data moving through your broader technology stack.

Products

More tools to turn MCA data into action.

Explore products that help your team capture applications, parse statements, review submissions, match funders, submit deals, track activity, manage teams, analyze performance, and move clean data into the systems that need it.

TrueSight

Review applications, bank statements, and deal data against funder criteria so you can understand which files are most likely to fund.

Underwriting

InFlow

Parse bank statements into structured cash-flow data in seconds, reducing manual review and giving your team cleaner numbers to work with.

Bank statement scraping

Broker dashboard

Manage applications, statements, deals, matching results, submissions, and team activity from one central workspace.

Broker dashboard

Funder dashboard

Manage funder criteria, ISO relationships, submission preferences, and the underwriting logic used to match deals.

Funder dashboard

Team management

Create organizations, invite team members, assign roles, and control who can access each part of the dashboard.

Teams

Funder submissions

Submit matched deals directly to selected funders with the application and bank statements attached, then keep the workflow traceable.

Funder submissions

Deal analytics

Understand deal performance, funder fit, submission activity, and workflow bottlenecks with clearer operational insights.

Analytics

Tracking

Track users, submissions, deal status, funder activity, and workflow progress so nothing gets lost between intake and funding.

Visibility

Custom integrations

Connect your existing systems, workflows, and data sources with tailored integrations built around how your team operates.

Custom integrations

Get started

Scale deal flow without scaling your team.

Start with a 7-day, 10-submission free trial, or ask sales how fixed pricing can cut costs by up to 60%.