Automate Reconciliation Even When Customers Make Multiple Payments at Once
Get your finances in shape by consolidating payment channels, accurately matching transactions, and automating accounting tasks, so your business can run efficiently without breaking a sweat.
Schedule demo
Payment Channel Consolidation
Unify sales information from various payment platforms into one cohesive report, simplifying financial oversight and providing a clear view of income from different services.
Transaction Reconciliation
Verify and match transactions with point-of-sales, payment channels, and bank statements, ensuring all financial records are complete and accurate. Execute transaction matching using dynamic rules for One-to-One, Many-to-One, and One-to-Many transactions.
Invoice & Receipt Posting
Streamline the entry of invoices and receipts into accounting systems, reducing manual effort and improving the accuracy of financial records.