Statement Import

Extract carrier, client ID, producer, and review-ready split fields from commission statements.

Revenue Rhythm Keep every pay run in Rhythm.

Keep every pay run in Rhythm.

Commission operations software for benefits brokerages.

Turn carrier statements into approved commissions, payment-ready runs, missing follow-up, and role-aware reporting without rebuilding the month in spreadsheets.

Request a demo
Steadier workflowRoute each statement through the work it needs.
Fewer payout mistakesCatch review issues before commissions move forward.
Clearer visibilitySee revenue, producers, missing items, and payment status.

How it works

1

Import statements

Bring carrier statement data into one workspace and let each statement route to the right queue.

2

Resolve and approve

Connect clients, producers, and rules while review checks surface issues before approval.

3

Run payouts and report

Move approved commissions into pay runs, missing follow-up, statement history, and role-aware reporting.

Narrated homepage overview with captions. Voice narration was generated with AI.

Workflow video

From messy statements to steady payouts.

See how an agency can move statement data through setup, assignment, approval, pay runs, missing follow-up, and reporting without stitching the month together across spreadsheets.

  • Route each statement through the work it needs.
  • Surface review issues before commissions move forward.
  • Give owners, admins, and producers clearer payout visibility.
Request a demo

Built for every role in your agency

Give each person the right view of the monthly commission run without exposing workflow controls or tenant data they should not touch.

Owners and admins

Watch pending work, revenue movement, payment status, users, settings, and exports.

Commission administrators

Move statements from import to approval with consistent routing, assignments, and review checks.

Producers

See scoped commission visibility, payment context, book records, and missing follow-up after login.

Request alpha access

Tell us who should receive the tenant invite when your agency is ready to test a pay-run workflow.

We’ll use this information to review and respond to your Alpha access request. See our Privacy Policy.

Revenue Rhythm Keep every pay run in Rhythm.

About Revenue Rhythm

Commission work should feel steady, visible, and ready to run.

Revenue Rhythm is built for small and medium benefits brokerages that need a cleaner monthly path from carrier statements to approved commissions, payout-ready runs, missing follow-up, and reporting.

Workflow clarity

Keep each statement moving through import, setup, assignment, approval, and payment without rebuilding the month in spreadsheets.

Fewer payout mistakes

Use review checks and approval queues to spot issues before commissions move forward.

Better visibility

Give owners, admins, and producers clearer context around revenue, missing items, and payment status.

Built in Boise

A Blunt Force Technology product

Revenue Rhythm is owned by Blunt Force Technology, a Boise, Idaho company focused on practical software for teams that live in operational details. The product grew from the real mess of monthly commission work: carrier statements arriving in different shapes, approval questions hiding in spreadsheets, and pay runs that need confidence before money moves.

Our goal is simple: help benefits brokerages keep each month moving with cleaner workflow, fewer payout mistakes, better visibility, and less spreadsheet rebuilding.

Revenue Rhythm Keep every pay run in Rhythm.

Contact Revenue Rhythm

Tell us what your brokerage needs to keep pay runs moving.

Use the right inbox below for demos, support, product feedback, or general questions. Revenue Rhythm is a Blunt Force Technology product founded in Boise, Idaho.

Contact information

Company
Blunt Force Technology
Mailing address
4516 W Freemont St.
Boise ID, 83706
Revenue Rhythm Keep every pay run in Rhythm.
Revenue Rhythm Keep every pay run in Rhythm.
Revenue Rhythm Keep every pay run in Rhythm.

Login to Revenue Rhythm

Access statement imports, approvals, payment runs, reports, and tenant settings from one secure agency workspace.

Tenant-scoped agency data Role-aware workflow access Producer visibility after login

Sign in

Use your active tenant or App Admin account.

Revenue Rhythm Keep every pay run in Rhythm.

Reset your password

Choose a new password for your tenant account before opening Revenue Rhythm.

New password

Passwords must be at least 12 characters and include a letter and a number.

Revenue Rhythm Keep every pay run in Rhythm.

Activate your account

Set your password to join your agency workspace in Revenue Rhythm.

Accept invitation

Confirm your account details and choose a secure password.

App Admin Accounts

Create app-level operators, reset App Admin passwords, and control access outside tenant accounts.

Alpha Access Requests

Review brokerage requests before approval and tenant provisioning.

Sample data walkthrough
Loading sample months...
Import Summary
Statements Imported
0
Commission Rows
0
Ready %
0%
Need Parsing
0
Need Config
0
Row Config
0
Ready
0
Commission $
$0.00
Recent Statements

Statement Routing

Imported statements move into the next workflow queue based on parser, statement type, and commission rule setup.

Statement Parsing Queue

Statements appear here only when the app does not know how to parse their format.

Statements

No statements need configuration.

Configuration Detail

Select a statement to configure commission behavior and quality review warnings.

Parser Mapping Select a statement The import parser sets this mapping. Change parser setup if the mapping is wrong.
Quality Review Overrides Use only when this statement needs different warning behavior from agency defaults.

Required fixes always block approval. Overrides only change non-blocking quality warnings.

Statements

No statements need assignment.

Assign Clients and Rules

Select a statement to assign clients and commission rules.

Carrier Directory

Carriers are the companies that issue statements. A carrier can have many statement types.

Add Carrier

Save carrier contact and reference details for future statement setup.

Configure Statements

Statement types connect a carrier to an import rule and decide how commission rules are assigned.

Client Directory

Canonical client records used to connect source statement names, IDs, assignments, and reports.

Client Details

Select a client to review source identities and saved row assignments.

Commission Rules

Reusable producer split rules can be assigned to whole statements or individual commission rows.

Producer Directory

Select a producer to review or edit the name used for future imports and split dropdowns.

Producer Details

Select a producer to edit it, or add a new producer by name.

Statements

No statements ready yet

Rows Included

No rows ready yet

Client Date Commission Commission Rule

Check Runs

Review approved commission rows, name the payment run, and finalize producer checks.

Checks to Cut No producers ready yet

Missing

Review expected statements and commission follow-ups that need carrier, client, or book cleanup.

Statements No missing statements detected
Commissions No missing commissions detected
Finalized Statements No processed statements yet

Reporting

Revenue and Book reports use imported statement rows and refreshed book relationships.

Revenue No report selected yet

Agency Profile

Agency details used by future reports, exports, and account administration.

Producer Access Agency-wide defaults for future producer-scoped views.
Reporting and Exports Agency-wide reporting defaults for non-producer roles.
Check Runs Payment-run export behavior for finalized producer checks.
Client Records Optional fields for richer client profile details.
Quality Review Defaults Agency-wide defaults for non-blocking statement quality warnings.

Users and Roles

Manage tenant users, MVP roles, status, and producer links.

App Configuration

Structured placeholder for workflow, missing commission, and compliance-support defaults.

Reporting and Exports

Review report visibility and CSV export policy for scoped roles.

Dev

Reset local development data while testing import and workflow changes.

Delete statement data

Deletes imported statements, commission rows, approvals, payments, and source/import records. Carriers, statement types, producers, and commission rules are preserved.

Sample setup data

Loads or deletes the fixed CSV demo setup: carriers, statement types, producers, commission rules, import rules, and row assignments.

Delete tenant setup data

Deletes imported statements plus carriers, statement types, producers, commission rules, parsing rules, row assignments, saved report views, payments, and audit entries for the current development tenant.

Export

Download development workflow CSVs from the current browser data.