Reconciliation: Intelligent, scalable solution that improves efficiency, accuracy and transparency across reconciliation, exception management and the entire post-trade process
GST Reconcile is a GST reconciliation tool built for Indian CAs, accountants, and finance teams who are tired of spending hours on manual GSTR-2B reconciliation in Excel. What it does GST Reconcile automatically matches your purchase register (Books) with GSTR-2B data downloaded from the GST portal. It instantly identifies every matched invoice, partly matched invoice, and missing ITC — giving you a complete picture of your Input Tax Credit position before your GST return filing deadline. Why
Taxilla Account Reconciliation automates balance sheet and GL reconciliations for mid-market and enterprise finance teams — eliminating spreadsheet-dependent, manually explained reconciliations. It provides account-type-based templates (Bank, AR/AP, Accruals, Prepaids, Fixed Assets, Intercompany, Suspense), auto-populated GL balances from SAP, Oracle, NetSuite, or Dynamics, and AI-assisted transaction matching that flags exceptions for review. Role-based workflows enforce preparer, reviewer, and
Concourse – Reconciliation is a real-time, rules-based software solution that streamlines the transaction matching and reconciliation process for electronic payment transactions such as credit card, debit card, ATM, POS and mobile transactions. It allows companies to view the current reconciliation status, net positions, suspense items, and specific reasons for any transaction data discrepancies. * Automatically load data from all transaction sources * Link data and create complete transaction
BillingReconcile is a B2B SaaS platform for Managed Service Providers that helps reconcile client billing against real usage data from connected systems.
Aqua Global is a financial technology provider with over 43 years of experience delivering transaction automation solutions to banks and financial institutions. Aquila’s reconciliations, matching, and reporting solution provides automated data ingestion and preparation, flexible and high-volume matching capabilities, and robust exception management workflows. It enables teams to quickly identify and resolve breaks, supported by real-time dashboards, comprehensive reporting, and full audit trail
AI-native bookkeeping automation for small medium businesses, accounting firms and bookkeepers.
Accounting teams spend hours every week switching between their ERP, banking, and currency data platforms to process supplier payments. Xe’s solution saves businesses time and money by enabling them to send, manage, and report on domestic and international payments within D365 Finance. We’ve embedded our payments technology into the existing accounts payable functionality of D365 Finance, creating a streamlined end-to-end payments process. The result is faster payments, reduced manual errors
Nomentia has a long history with its roots in the 1980s in Finland, the home of cash management. That might sound like a reach, but account statements with a creditor reference are actually a Finnish innovation. In the context of cash management, too many corporates still suffer from scattered, unharmonized, and inefficient treasury, cash and financial processes. These inefficiencies lead to challenges such as globally multi-billion problem of payment fraud, while trapped cash, and poor cash
Modern Treasury is a comprehensive payment operations platform designed to streamline and automate the entire lifecycle of money movement for businesses. By integrating directly with over 40 banks, it enables companies to manage payments efficiently, ensuring real-time tracking, reconciliation, and compliance. The platform supports various payment methods, including ACH, wire transfers, FedNow, RTP, and stablecoins, providing flexibility and scalability to meet diverse financial needs. Key Fea
Unit4 Coda Financials is a suite of financial management software designed to integrate with your industry- and company-specific applications. Their solution provides real-time financial visibility and control across people, processes and systems.
Backup Exec is one integrated product that protects virtual and physical environments, simplifies both backup and disaster recovery, and offers unmatched recovery capabilities
Audit & Analytics Services continuously scans corporate information regardless of type, source and volume to discover and alert of patterns, deviations and inconsistencies related to enterprise data and content. It helps to improve operational performance, strengthen internal controls, reduce occupational fraud and elevate compliance by automating business audit and reconciliation rules to deliver policy-driven results.
Micro Focus ZENworks Asset Management (formerly Novell) ZENworks Asset Management) integrates inventory, software usage, and license reconciliation to get the most accurate view of software installations and license compliance available. The combination of hardware, software, and purchasing data enables to get a complete view of IT assets. This ensures license compliance and eliminates software overspending.
CashOnTime is a software for debt collection, management of customer risk, and account reconciliation.
Bexio is a Swiss-made, cloud-based business software tailored for small and medium-sized enterprises (SMEs), sole proprietors, and startups. It integrates essential business functions such as customer relationship management (CRM), sales, invoicing, expense tracking, accounting, payroll, and banking into a single, user-friendly platform. Designed to streamline administrative tasks, Bexio enables businesses to manage their operations efficiently, securely, and from any location. With data hosted
Brings more transparency, accountability, and control to advertising through powerful media investment management software for advertisers, advertising agencies, and ad sales teams.
HCS Medication Reconciliation automates medication history retrieval and provides a solution that exceeds the Joint Commission standard. Within seconds of a patient’s admission or transfer, HCS Medication Reconciliation provides clinicians with a detailed report of the patient’s prior medication history, including drug strength, quantity, and original fill and last refill dates.