Reduce Reconciliation workforce and time by 80%

Financial Reconciliation

We can deploy an automated reconciliation via our market-ready, configurable reconciler platform

Our Reconciler solution is designed to provide seamless, accurate, and fully automated reconciliation for banks and financial institutions. We understand that in today’s fast-paced financial world, reconciling thousands of transactions daily should be effortless. Our platform covers ATM, Nostro, Esewa, IPAY, Fonepay, and Office reconciliation all in a single unified interface, ensuring your operations team stays in control at all times.

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Key Features

Features of Reconciler

We help ensure your your transactions are matched, exceptions are flagged, and your team spends less time on manual work

 User-friendly mobile app and web interface

Comprehensive Transaction Overview

  • Real-Time Dashboard: Allow your operations team to view reconciled, pending, and unreconciled transaction counts in real-time. The intuitive interface ensures a clear and concise view of daily reconciliation status across all branches and sources.
  • Multi-Source Reconciliation: Reconcile transactions across ATM, Nostro, Esewa, IPAY, Fonepay, and Office channels all from a single unified dashboard. Eliminate the need for separate tools for each channel.
  • Pending Approval Workflow: Transactions requiring approval are surfaced automatically. Your team can review, approve, or reject items directly within the platform, reducing back-and-forth communication.
 User-friendly mobile app and web interface

Automated Data Fetching & Processing

  • All Your Sources in One Place: Automatic fetching, extraction, and structuring of any type of data formats and versions from FTP files and CBS requests to ledger statements and switch files without any manual intervention.
  • Machine Learning Rule Engine: We leverage the power of machine learning and our rule-engine expert system to automate tedious reconciliation processes and adapt to any new data types as your institution evolves.
  • Data Processing Pipeline: All three core stages Data Fetching, Data Processing, and Reconciliation are fully automated. Reduce human error and processing time drastically across your entire reconciliation workflow.
 User-friendly mobile app and web interface

Enhanced Security Features

  • Authentication & Authorization: Token-based authentication ensures secure access to the platform. No passwords are stored in plain text, and session tokens are rotated regularly to prevent unauthorized access.
  • Object-Level Permissions: Define granular access control at the data type and reconciliation rule level. Restrict which users can view, edit, or approve specific reconciliation channels and their underlying transactions.
  • Hierarchy-Based User Access Control: Map your organization’s structure directly into the platform. Branch-level users see only their data, while supervisors and admins have broader visibility all enforced automatically.
  • Data Encrypted at Rest: All sensitive transaction data and reconciliation results are stored using industry-standard AES-256 encryption, built on 15+ years of Global Information Security expertise.
 User-friendly mobile app and web interface

User-Friendly Interface

  • Personalized Dashboard: Customize the dashboard to display reconciliation information that matters most to your team whether it’s reconciled counts, pending approvals, exception summaries, or reconciler health status tailored to each user’s role.
  • Easy Navigation: The platform’s design prioritizes simplicity and ease of use, ensuring operations staff can access the reconciliation features they need without training overhead or complex workflows.
  • Activity Tracking & Reports: Full audit trail of all reconciliation actions, approvals, and exceptions. Generate detailed reports on reconciled transactions, unmatched items, and team productivity with a single click.
 User-friendly mobile app and web interface

Configurable to Your Exact Needs

  • Intelligent Rule Engine: Our rule engine adapts to your transaction data structure and infers the right reconciliation options on every layer of the activity pipeline without requiring developer involvement for every change.
  • Custom Reconciliation Rules: Reconciliation rules are not hardcoded. Your team can create, modify, and deploy custom rules to serve any new reconciliation requirement from a new payment channel to a regulatory reporting format.
  • Modular Plugin System: With our modular plugin architecture, you won’t need a new system every time your reconciliation requirements grow. Simply add a new fetcher plugin or source and the platform adapts automatically.