ORDER RECONCILIATION / BRL → USDT
Follow the order.
Account for every leg.
Reconcile the requested amount, the order’s reported history and the evidence for funding, delivery and beneficiary credit. Keep unresolved outcomes visible.
One reported order is not proof of final settlement.
Synthetic buy-side cases only. Explore Pix and balance funding locally. Test files remain in memory until you download them. All source verification and transaction execution remain disabled.
01 / ORDER CASE
Inspect the evidence.
Understand the hold.
A matching fixture demonstrates a control path. It does not verify a bank statement, a chain transaction or a beneficiary’s account.
Preparing the local workbench…
OBSERVATION HISTORY
What arrived, in order.
Older responses remain visible. Conflicting responses are quarantined and cannot replace the retained order.
REVIEW QUEUE
Open control findings.
Instruction and intent binding
Binds the account scope, economics, payment instructions and planned destination. A file checksum provides consistency, not source authentication.
THREE SEPARATE LEGS
Track the evidence independently.
Each leg requires one matching synthetic record. Split transfers, fees, partial allocations and multiple records remain held for separate allocation rules.
Keep a reviewable case.
Download the inputs and checksum to reopen this case. The separate review report records the computed findings. Reloading this page clears the current case.
Inspect the computed review report
02 / PORTABLE TEST CASES
Reopen the inputs.
Recompute the decision.
The importer accepts only the synthetic case package exported here. It validates the schema and checksum, then computes a fresh review. Saved decisions are never treated as approval.
Use synthetic data. This workbench has no accounts, credentials, uploads or automatic storage.
PACKAGE INSPECTED / NOT AUTHENTICATED
TEST SCOPE
Recovery without replay
An uncertain order outcome keeps the same reference for lookup. No match is not proof that creation failed. An uncertain withdrawal always requires manual reconciliation.
Specific assets and destinations
Amount, currency, network, token identifier, recipient, reference and review binding are compared separately. A matching ticker or amount alone is insufficient.
Explicit execution boundaries
No bank, chain or beneficiary proof is independently verified here. Sell-side settlement, available custody and withdrawal execution require separate contract qualification.
