P R O D W A R E

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    Bank-to-GL reconciliation that closes itself.

    Intelligent Reconciliation Engine

    The Intelligent Reconciliation Engine applies AI to the matching of bank statements against your general ledger. It handles the complex one-to-many and many-to-one relationships that break rule-based tools, surfaces only true exceptions, and keeps reconciliation continuous — so month-end close is faster, cleaner, and always audit-ready.

    Key Capabilities

    • Automated matching of bank statement lines to GL entries.
    • Intelligent handling of one-to-many and many-to-one transactions.
    • Continuous reconciliation rather than a month-end scramble.
    • Exception surfacing with suggested resolutions.
    • Complete, audit-ready trail of every match and adjustment.

    Business Benefits

    • Faster, smoother month-end and period-end close.
    • Higher accuracy with far less manual matching effort.
    • Audit-ready records that stand up to scrutiny.