Veterinary & Pet Care
Treasury for vet clinic management platforms.
Veterinary practices handle deposit holds for surgeries, multi-provider billing splits, and payment plan management. Your practice management platform can own all of it with the right treasury infrastructure.
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Use Cases
The unique financial flows of veterinary practice.
Procedure Deposit Holds
Collect surgical deposits at appointment booking. Hold in the clinic's virtual account. Release on procedure completion or issue refunds via Reg E.
Payment Plan Management
Set up recurring ACH debits for treatment payment plans. Automatic retry on failed debits. Full ledger trail per payment plan.
Multi-Provider Billing Splits
When multiple vets participate in a procedure, split the billing automatically. Sub-ledger handles the revenue allocation per your platform's rules.
Insurance Reconciliation
Track insurance reimbursements alongside client payments in the same sub-ledger. One reconciliation view across all revenue sources.
Multi-Clinic Groups
Corporate vet group owns multiple clinic entities. Each clinic has its own virtual account. Group-level FBO view for the CFO.
Supplier Payments
Pay pharmaceutical and supply vendors directly from the clinic's virtual account via ACH. Reduces credit card dependency for B2B purchases.
Building veterinary practice management software?
The financial complexity of a vet practice is exactly the problem we solve. Let's walk through your payment flow architecture.
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