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Discover the difference for yourself

We admit, sometimes a one-size-fits-all tool just doesn’t cut it. Our system is designed to flex to your business, giving you control over rules and workflows while keeping everything auditable and secure. Want to see which features would help your team the most?

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Why choose us

See how our approach fits your organization’s needs

We’re up-front about it: adopting a new system involves change, and some days will feel slow. But we’ve built our platform so you get real results in daily operations — not just on paper.

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Why our reconciliation stands out

We designed our system to anticipate real-world reconciliation needs, not just automate the basics. Our platform’s flexibility lets you set rules and workflows that reflect your reality.

Key areas our approach addresses for Indian businesses

  • Flexible workflow setup and management: Discover how to configure matching rules, upload data, and customize workflows for your unique business requirements.
  • Exception management best practices: Understand how to manage exceptions, assign tasks, and maintain a clear audit trail for all decisions made.
  • Custom reporting and compliance: Learn to generate and export reports that satisfy both management and compliance needs, with options to tailor formats.
  • Real-time dashboards and alerts: Gain confidence in using dashboards for live status tracking, reducing time spent searching for unresolved items.

Main objectives

Give every business owner the ability to spot transaction issues before they become problems, with clear records and actionable insights.

Unique aspects of our system

Our approach minimizes manual review and brings all reconciliation tasks under one roof, with tools built specifically for virtual banking in India.

Platform highlights

Visualize the flexibility and depth of our reconciliation platform’s features.

What makes our system unique

No two businesses operate alike, so our tools are built to flex — not force — your daily operations into someone else’s mold.

We’ll admit, our reconciliation approach is shaped by the reality that every business has a few quirks — and sometimes, even the best process needs a nudge.

Custom matching logic

Our platform adapts to your business logic, letting you set matching criteria for different transaction types.

Guided exception handling

Easily resolve exceptions with a guided workflow, documenting every decision for clarity and compliance.

Centralized status tracking

Get a clear view of all open, pending, and resolved mismatches with centralized tracking.

Customizable reporting

Produce summary and detail reports with customizable fields to match management and regulatory requirements.

Features that set us apart

We designed our features with Indian business realities in mind: flexibility, compliance, and ease of use.

Flexible matching setup

Set custom rules for matching and exception management, giving you flexibility in how transactions are reviewed and reconciled, no matter your business size.

Live dashboards and alerts

Real-time dashboards and alerts keep everyone informed of open items, helping your team resolve exceptions efficiently.

Full audit logging

Every action is logged and auditable, making compliance reporting easier for both internal and external stakeholders.

Ongoing support

Support staff are available during onboarding and for ongoing needs, ensuring you always have help when processes change.

Customizable matching rules

Our platform lets you set your own rules for transaction matching, giving you more control over how different payment types are reconciled.

Role-based team dashboards

Role-based dashboards show each team member what requires attention, helping everyone stay on track and reduce bottlenecks.

Export-ready reporting tools

Comprehensive reporting tools allow you to export data in regulatory-ready formats for compliance and management reviews.

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