Reconciliation that keeps up with your payment volume

BankReconciliation ingests payment registries and nostro account statements, normalizes them automatically, and matches the vast majority of transactions - leaving your team to focus only on genuine exceptions.

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Built for teams that reconcile at scale

Flexible data intake

Pull or receive payment and statement data via SFTP, API polling, or webhooks - whatever your banks and vendors already support.

Automatic normalization

Source-specific file formats are parsed and mapped into one consistent data model, so matching logic never has to special-case a format again.

Smart auto-matching

A weighted scoring engine auto-matches high-confidence transactions and routes the rest to manual review, with room for your own custom matching rules.

Audit-ready by default

Every action is tracked with role-based access, giving compliance teams a clear, append-only history of what happened and who did it.

Strict tenant isolation

Built multi-tenant from day one - each customer's data, credentials, and configuration are isolated, and never shared across tenants, even in aggregate form.

Configurable retention

Tenants control how long raw statement and payment data is retained, from 1 to 365 days, to match their own compliance requirements - not a fixed platform default.

Who it's for

Banks, fintechs, payment service providers, and corporates reconciling payments across multiple accounts, banks, or currencies - anywhere reconciliation still depends on a spreadsheet, a one-off script, or one person's memory of a particular bank's quirks.

Now onboarding pilot partners

Our platform is fully built and completing final production rollout hardening. We're looking for design partners to run an initial pilot on a real (or sandboxed) data feed and help shape the roadmap with us.

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