Smonik's Data Management Services allow users to configure the automated retrieval and transformation of data from targeted sources, such as other databases, FTP sites, Message Queues, Web Services, Email etc. - completely eliminating the need for an organization to manually extract and transform data from files. Files can be scheduled to retrieve data using an automated schedule or on-demand.
We are a cloud-based solution, that optimizes financial reconciliation for companies, ensuring high accuracy and visibility. By leveraging Big Data and advanced matching algorithms, SmartConcil achieves precise results, empowering finance teams to streamline processes and allocate more time to strategic tasks that drive business growth. Companies across industries are enhancing cash flow and financial projections using SmartConcil in three steps. 1. Data Mining 2. Matching with Big Data 3. D
PayClarify helps small business owners compare credit card processing fees, understand payment gateway costs, and choose the best payment processor for their business. Free tools include a fee calculator and side-by-side processor comparisons.
Rentee is the financial layer for vacation rental property managers in Spain. It connects with your PMS (Hostaway, Icnea, Avaibook) and booking platforms (Booking, Airbnb, Vrbo), cross-references your bank transactions, and automates what the PMS doesn't: automatic bank reconciliation, owner payout statements as branded PDFs, per-property expense allocation, and real P&L per unit. Rentee complements your PMS — it doesn't replace it. It only reads your transactions; it never moves money. 15-d
EasyBankStatements is software designed for bookkeeping and accounting firms to collect and organize client bank statements. Clients connect their bank accounts through Plaid, allowing firms to retrieve up to 24 months of historical statements and receive new monthly statements automatically. Statements are organized by client, institution, account, and date and are available in PDF and CSV formats. The platform supports client onboarding, monthly bookkeeping workflows, reconciliation, and reco
BlinkBooks is a financial operations platform that connects accounting systems, banks, payment processors, and other finance tools into a unified data layer. The platform automatically ingests, organizes, and reconciles financial data across multiple entities, providing finance teams with a centralized view of cash position, transactions, and financial performance. BlinkBooks also offers AI-powered analysis, anomaly detection, and financial insights to support reporting, monitoring, and decision
Marketdata.ai is market data cost and contract management software for banks, hedge funds, asset managers, and energy firms. It gives finance, procurement, and market data teams one system of record for the vendor subscriptions they buy from Bloomberg, Refinitiv, exchanges, and others. Contracts, invoices, entitlements, usage rights, cost allocation, and an audit-ready history of what changed and why. AI-assisted workflows reconcile invoices against contracts, and an MCP server lets AI agents qu
BucketBooks replaces the ledger-plus-connector stack (about $67–$117/month) with one seller-first bookkeeping tool. It starts where seller money actually starts: the settlement report. Import Amazon or Walmart settlements, and BucketBooks splits gross sales from every fee and matches the net payout to your bank deposit — to the penny. Bank transactions come in through a secure feed and are categorized with deterministic rules first, AI suggestions second (labels only — AI never touches your numb
BEST Open Item Clearing is an SAP add-on module that automates the bulk matching and clearing of open items directly within SAP. Using flexible, user-defined rules, it can clear items across different company codes, General Ledger accounts, customers and vendors. This reduces manual work, speeds up period-end closing and gives finance teams clearer visibility into unreconciled items, while supporting greater accuracy, consistency and compliance.
MainBook converts PDF bank statements into clean Excel or CSV files. It handles digital and scanned statements from 428+ banks worldwide, merges months or years of statements across multiple banks into one structured file, and validates every transaction against running balances so the numbers reconcile. Built for small business owners, bookkeepers, and accountants who need transaction data out of PDFs without manual retyping.