Say goodbye to Excel reconciliations
Transform your payment reconciliation process with an automated solution that integrates with all your payment providers and matches transactions in near real-time.
The real cost of Excel reconciliation
Excel reconciliation seems to carry almost no expense until you count the true operational costs – from time spent on juggling the spreadsheets to missing out on costly errors.
Your team spends up to 20 hours per week on mind-numbing work, comparing transactions line by line across multiple spreadsheets.
One misplaced decimal or accidental delete can cascade into costly mistakes, costing you up to $40,000 in errors per million processed.
Spreadsheets lack a systematic way to track edits, making it impossible to demonstrate data integrity and change history during audit reviews.
As your transaction volume doubles, you're forced to either double your team size or accept growing backlogs.
You're always looking at last month’s data, making it impossible to spot and fix discrepancies quickly or get up-to-date financial insights.
"Final_v3_FINAL_APPROVED_2.xlsx" floating around emails means you're never quite sure if you're working with the latest numbers.
Automate transaction reconciliation with Reiterate
Say goodbye to manual reconciliations and welcome strategic and analytical finance work that drives your business forward.
Streamline your reconciliation
Automatically match and verify transactions between payment solution providers and your back-office. Identify discrepancies and swiftly resolve them to ensure your financial data is consistent and accurate across all your financial platforms.
Integrate all your payment providers
Connect all your payment solution providers to automate data entry, achieving 100% automation coverage – at no extra cost.
Analyse reconciliation data
Analyze your reconciliation data to uncover critical insights and patterns in your financial operations. Optimize processes, reduce errors, and make informed decisions that drive your company's strategic growth.
Get a comprehensive audit trail
Log each transaction in near real-time, ensuring all financial activities are captured and readily accessible for audit. Enhance operational efficiency and maintain the integrity of your financial records.
See Reiterate in action
Book a demo and discover how Reiterate can streamline and automate your financial operations, freeing up your team for strategic growth initiatives.
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Explore Reiterate’s solutions
Discover how Reiterate brings visibility and accuracy to your financial management.
Transform the tedious task of matching ledger entries with records into an automated and error-free operation.
Estimate monthly transaction fees and compare them with settlement statements.
Optimize costs and make data-driven decisions by monitoring your PSP's performance.
Send accurate payment data and ensure factual reporting across all your financial platforms.
Ensure complete tracking of your month-end activities with the help of automated workflows and tasks.