Already move money with Dream? Now it arrives reconciled.
Dream Hannah, powered by Brisc, matches every claims payment in your Dream flow to the policy, the bordereau, and the claim. Audit-ready in your books, no new headcount, nothing new to build.
Integrated with Dream Payments • 97%+ match accuracy • Matched as payments land
Moving money and accounting for it are two halves of the same job.
Dream moves your premium in and your claims out, fast and clean. Then the second half starts: somewhere between the bank statement, the bordereau, and your policy admin system, someone matches every payment to what it was for.
When the book grows, that team grows. New programs wait on reconciliation capacity. Month-end waits on matching. That's the half this partnership closes.
Reconciliation, built into the payments you already run.
Brisc's Reconciliation Analyst reads each payment as it lands in your Dream flow, matches it, flags the exceptions that need a human decision, and builds the audit trail automatically.
Premium arrives matched.
Premium collected through Dream is matched to the policy and the bordereau as it lands. Matched premium updates continuously, not at month end, so finance closes faster and underwriting sees what's paid.
Claims reconcile to the claim record.
Every disbursement through Dream is reconciled to the claim record automatically. Mismatches are flagged for a human decision, and every dollar stays traceable from payment to claim.
Audit-ready by default.
Payments in your Dream flow already carry their policy and claim references, so matching starts clean instead of being inferred from raw bank lines. The audit trail builds itself as the money moves.
Already integrated with your Dream flow.
Brisc and Dream are integrated. If your premium and claims move through Dream's payment network, Brisc plugs straight into that flow and posts the results back to the systems you already run.
Your Dream Payment Flow
- Premium collection in
- Claims disbursement out
Brisc Reconciliation Analyst
- Reads each payment as it lands
- Matches to policy, bordereau, and claim
- Flags exceptions for human decisions
- Builds the audit trail automatically
Your Existing Systems
- Cash applied, matched, audit-ready
What finance teams get.
Matching you can close on.
The Reconciliation Analyst retains what it learns — broker aliases, remittance patterns, program quirks — and applies it to every payment, every time.
Fast to useful, faster to better.
Deployments typically reach 80% straight-through matching in the first month and pass 90% by day ninety as the system absorbs your book.
Volume scales. Your team doesn't have to.
New programs stop waiting on reconciliation capacity. When the book doubles, matching capacity is configuration, not recruitment.