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Reconciliation
Automated reconciliation
Cent-perfect closes, without spreadsheets.
Every incoming and outgoing payment is automatically matched against your bank and internal systems.
Real timeMulti-bankMulti-channel
Cent-perfect
close accuracy
Real time
no next-day wait
0
spreadsheets
Capabilities
Everything included in automated reconciliation
Automatic matching
Every movement is matched against expected operations and bank records.
Mismatch detection
Identify unknown deposits and amount differences early.
Multi-bank and multi-channel
Reconcile SPEI, card, POS, crypto, and cash.
Live visibility
A dashboard that shows reconciliation status in real time.
How it works
Simple from start to finish
01
Ingest
We receive bank and channel movements in real time.
02
Match
The engine matches each operation against its expected counterpart.
03
Alert
Anything that does not match is flagged before close.
Use cases
Who is it for?
- High transaction volumes
- Finance teams reconciling in Excel
- Multi-branch operations
- Accurate daily closes
Frequently asked questions
Common questions
Does it replace my finance team?
No; it removes manual matching so the team can focus on exceptions.
How often does it reconcile?
In real time as movements arrive.
Other products
Ready to unify your money flows in one platform?
Tell us about your operation and we will design the right solution and integration path with you.