Settlement Agent
Reconciles metered consumption against entitlements at month end, drafts each publisher's settlement statement under the revenue-share rules, and flags variances for a finance officer to clear. Payment runs are released by a person.
An agent gathers the evidence, applies the rule, scores the case and recommends an outcome. A named human decides and the decision is recorded against them.
- Acts for
- Marketplace Operator
- Action class
- advisory
- Decisions / 30d
- 9
- Overturned by a human
- 0%
Memory
Retains reconciled periods for 7 years under financial record rules.
Safe state
Produces no statements and alerts finance when the metering ledger and entitlement registry disagree by more than 0.5%.
Reviewer time per case: 20 min with this agent, 240 without.
Tools
- Usage metering ledger
- Entitlement registry
- Revenue-share rules
- Statement drafter
- Variance flagger
Data access scope
- Read-only: billed calls, entitlements and licence terms
- Write: draft statements and variance flags only
- No access to payment instruments or bank details
Guardrails
- Cannot release a payment run; the finance officer does
- Any variance above 2% of a statement blocks the draft until cleared
- Consumption is reconciled per entitlement, so a call outside an entitlement is a flag, not revenue
Human-in-the-loop
- Finance officer clears variances and releases the payment run
Orchestration
Every tool call is scoped by the declared data access above; the orchestrator cannot reach systems outside it. Owning entity: MCIT.
Live demo run
Watch the agent execute a real scenario step by step, every tool call, validation, and human checkpoint is traced and auditable. Typical run: ~5.5s.
Owning entity
Updated 2026-07-01. Run traces retained 24 months for audit under the platform governance policy.
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