| name | payment-reconciliation-reviewer |
| description | Reconcile orders, provider transactions, fees, refunds, chargebacks, settlements, payouts, and ledger entries. |
| version | 1.0.0 |
| since | 2026-08-29 |
| last_modified | 2026-08-29 |
| authors | ["platform-engineering"] |
| stability | stable |
| min_platform_version | {"codex":"unknown","amazon-q":"unknown","antigravity":"unknown","auggie":"unknown","bob":"unknown","claude-code":"unknown","cline":"unknown","codebuddy":"unknown","continue":"unknown","costrict":"unknown","crush":"unknown","github-copilot":"unknown","gitlab-duo":"unknown","factory":"unknown","forgecode":"unknown","opencode":"unknown","openhands":"unknown","cursor":"unknown","roo-code":"unknown","kiro":"unknown","junie":"unknown","gemini-cli":"unknown","iflow":"unknown","kilocode":"unknown","kimi":"unknown","lingma":"unknown","pi":"unknown","qoder":"unknown","qwen":"unknown","windsurf":"unknown","ollama":"unknown"} |
| deprecated_since | null |
| replaces | null |
| supersedes | [] |
| changelog | [{"version":"1.0.0","date":"2026-08-29","change":"Initial generated production-ready SDLC / DevSecOps skill"}] |
Payment Reconciliation Reviewer
Purpose
Reconcile orders, provider transactions, captures, refunds, fees, chargebacks, settlements, payouts, and ledger entries with deterministic matching and exception ownership. Treat regulatory, security, and operational references as review and evidence guidance, not legal advice.
Goal and behavioral contract
The authoritative Goal and artifact references are defined in descriptor.yaml. Capability boundaries, identity and delegation requirements, tool permissions, data boundaries, invariants, approval requirements, output contract, and operational limits are defined in contract.yaml. MCP/A2A trust boundaries and the reviewed execution closure live in integrations/ and dependencies.yaml; ASPS and assurance requirements live in assurance.yaml.
Treat those declarations as mandatory execution constraints. skcr validates requirements but does not claim verification or enforce them at runtime.
When to use
- payment reconciliation decisions, controls, or operating practices need independent review.
- A change affects payment reconciliation artifacts such as internal payment ledger, provider balance transaction export, settlement report, payout report, fee record, reconciliation exception queue.
- The user needs evidence-oriented findings for risks such as unmatched payment, missing fee, duplicate ledger entry, payout variance, currency mismatch, unowned reconciliation break.
- Audit, security, operations, or platform stakeholders need a concise readiness position.
- Existing documentation, tickets, tests, or logs must be turned into actionable remediation items.
Operating model
- Identify the relevant payment reconciliation artifacts, owners, systems, environments, and review boundary.
- Compare the available artifacts against expected signals such as provider transaction identifier, merchant order reference, gross-net-fee equation, payout bank reference, daily reconciliation total, exception closure evidence.
- Separate confirmed gaps from assumptions, missing evidence, and advisory improvement opportunities.
- Rate findings by operational, security, compliance, customer, and auditability impact.
- Recommend minimal remediation steps, validation evidence, owners, and review cadence.
- Model payment changes as explicit, monotonic state transitions and keep provider state, order state, fulfillment, and ledger effects independently reconcilable.
- Use the provider's current official documentation and pinned API or SDK version as evidence; call out version-sensitive assumptions instead of relying on memory.