Banking

Automatically reconcile any volume of transactions

Enhance auditability and reduce operating costs with our next-gen reconciliation software.

Thank you! Your submission has been received!
Oops! Something went wrong while submitting the form.
Goodbye, manual processes
Part ways with complex spreadsheets. Automate all of your core data activities – import, reconcile and report in one go.
Beat your legacy systems
Our platform is data and source system agnostic. Which means you can reconcile data from any number of systems.
Avoid penalties
Be audit ready with accurate reporting and a full audit trail at a transactional level.

All these benefits
are for you.

Reduce staff costs.
Automate treasury reconciliations.
Streamline loan operations.
Improve month-end timelines.
Mitigate risks with financial controls.
Automate internal and external reconciliations.

There are 600+ integrations already waiting for you

We connect with more than 600 payment providers, banks, platforms, and systems so that no matter who you work with, you can start automating your reconciliation right away.
Request Demo
Solutions

Our solution is made with your industry in mind

HTB logo
HTB logo
HTB logo
Bank Reconciliation

Reconcile all your bank statements, from all your accounts, in just one click. Automatically import and match any data in seconds with our Bank Reconciliation solution.

Learn more
Client Money Reconciliation

Secure your client money with ease. Always be audit ready and prove client money segregation in seconds with our custom reports.

Learn more
Journal Entry Automation

 Ensure an accurate cash position at all times. Feed your ERP with all the right data, including deposits, withdrawals, chargebacks, and fees.

Learn more
Balance
Checker

Check all your balances per bank, per currency, per day with confidence that all your financial data is accurate at any given moment.

Contact Sales