Automated Reconciliation Infrastructure

A continuous matching module that links daily bank statements directly with system records. Uses advanced pairing rules to clear entries instantly and isolate anomalies.

Built For

Any organization managing multi-site infrastructure

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Enterprises

Consolidate utility and facility spend across every corporate location.

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Commercial Properties

Track tenancy, utility, and maintenance costs on a single pane of glass.

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Industrial Campuses

Monitor high-volume consumption and stay ahead of statutory compliance.

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Facility Management Firms

Run maintenance and compliance programs for multiple client sites at once.

Reconcile every credit and debit from your bank account to your ERP data.

Related Modules

Extend the same control across your business

Payables Management

Accounts Payable Automation Engine

Automate invoice-to-payment for your supplier side while collections handles the customer side.

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Collections Framework

Smart Collections & Receivables Hub

Automate receivables recovery and reduce DSO with risk-based collection strategies.

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Notification Engine

Multi-Channel Alert & Smart Reminder Terminal

Unlock working capital for buyers and suppliers across your trading network.

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