Reconciliation, purpose-built for your use case.
One AI-native platform. Five deeply-modelled reconciliation domains. Choose the workflow closest to yours.
Cash and Nostro reconciliation, cleared 10× faster.
Reconcile MT940/MT950, CAMT.053/054 and internal ledger cash across every nostro, vostro and internal account — with agentic triage that resolves breaks before your operations team opens them.
Securities, positions and custody reconciliation at institutional scale.
Reconcile custody positions, trades, corporate actions and cash-vs-position across custodians, prime brokers and internal books — with agentic root-cause analysis and full T+1 evidence.
Payments, cards and PSP reconciliation for the modern money movement stack.
Reconcile scheme settlements, PSP payouts, wallet ledgers and switch clearing with tolerance-aware matching, chargeback lifecycle handling and real-time exception routing.
Intercompany and GL reconciliation, closed without the month-end panic.
Reconcile intercompany balances, subledger-to-GL and GL-to-GL across ERPs and entities — with FX awareness, elimination rules and evidence-ready packs for group audit.
Regulatory reporting reconciliation, with proof for the regulator.
Reconcile what you reported to trade repositories, competent authorities and central banks against your source of truth — with lineage, evidence and completeness testing on every field.