We reconcile your different accounts to flag variances to enable real-time correction.
Ability to extract and transform any type of statement formats from the different providers ie MPESA, VISA, NIBSS, ISW, UPSL, other aggregators and all local banks.
Ability to customise reconciliation flows for the different payment products offered
Reconciliation of transaction status - ability to show whether a transaction was successful, failed, pending etc
Multiple matching capabilities i.e Multi-way matching, Bulk settlement recon, line by line matching etc
Customised reports and dashboards
Commissions and Fees calculation
Cash balance validation and management
Reversals and chargeback reconciliation
Efficiently manage complex financial reconciliation tasks with our robust multi-way reconciliation software. Seamlessly match and reconcile transactions across multiple sources, ensuring precise accuracy, optimized efficiency, and informed decision-making for your business's financial operations.
Experience unparalleled accuracy with our reconciliation software, boasting an exceptional reconciliation rate. Minimize errors and discrepancies, ensuring reliable financial records and confident decision-making for your business. Trust in our advanced algorithms and robust processes to deliver precise results, enabling you to maintain financial integrity and drive growth.
Simplify the management of chargebacks and reversals with our solution. Efficiently track and reconcile disputed transactions, minimising revenue loss and ensuring accurate financial records. Gain insights into chargeback patterns and trends, empowering you to proactively mitigate risks and protect your business's financial health.
Our reconciliation solution empowers you to effortlessly manage and reconcile vast volumes of transactions, ensuring accuracy and efficiency every step of the way.
Simplify your workflow with our bulk uploading feature, allowing you to seamlessly upload and reconcile large volumes of files in one go, saving you time and effort.
Real-time reconciliation
Cross-referenced ERP or transaction data with bank statements
Collated categorised statements in a master view