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Building a Multi-Acquirer Payments Strategy

Architecture · 8 min read

What it takes to run two or more live acquiring relationships without fragmenting reporting, risk or reconciliation.

This paper is part of the initial Greyhaven Intelligence series. Full editorial copy is pending — the structure, metadata and routing are in place so research can be published without further engineering work.

Each piece is written to be useful to an operator making a decision: what the constraint actually is, how acquirers and banks evaluate it, and what to change first.

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