Alternatives to Bank Rec
Compare Bank Rec alternatives for your business or organization using the curated list below. SourceForge ranks the best alternatives to Bank Rec in 2026. Compare features, ratings, user reviews, pricing, and more from Bank Rec competitors and alternatives in order to make an informed decision for your business.
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FloQast
FloQast
FloQast is an AI-powered accounting platform designed to optimize and automate the financial close process for businesses. It helps accounting teams reduce the time spent on reconciliations, audits, and financial reporting by providing real-time tracking, collaboration tools, and AI-driven transaction matching. The platform is built to integrate seamlessly with existing systems, enabling accounting professionals to focus on higher-level strategic tasks rather than routine data preparation. FloQast's AI agents elevate accountants from preparers to reviewers, streamlining the workflow and ensuring more accurate, timely financial results. -
2
QX QuickReco
QX Global
Manual processes are not effective for bank reconciliation involving a high volume for a number of different banks and accounts. QX QuickReco imports the data and automates the matching process to streamline reconciliation. The system compares data from general ledger files with bank statement reports and auto-matches it while supporting adjustments for hidden transactions such as bank charges or bank fees. Easily configure multiple accounts from the same bank or from different banks. Add newly setup accounts to the system. Import thousands of records from bank statements and bank books and reconcile them automatically. Easily input adjustment entries to payments that do not match the invoice. Separate entries based on whether they were auto matched, matched manually or adjusted. -
3
ReconXpert
Sydel Corporation
Although ReconXpert was originally created to reconcile the Federal Reserve accounting information to the financial institution’s general ledger, the application has evolved to eliminate all time-consuming manual reconciliation processes while ensuring that accurate and timely information is available to the financial institution’s management in order to make crucial business decisions on a daily basis. ReconXpert contains two distinct modules that work together to create an advanced reconciliation tool that has unparalleled soft-coded matching rules for rapid set-up and reconciling. The Operations Module is a Web-based application that allows your organization to perform multiple reconciliations based on the business rules defined in the Administration Module. The results are displayed and the users have the ability to review automatic matches, create manual matches and manual journal entries, track open items and investigate items. -
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Aurum
Aurum
Aurum Solutions is a cloud-based automated financial reconciliation platform designed to streamline and automate reconciliation processes so finance teams can match multiple transactions daily in seconds, integrate data from ERPs, banks, payment service providers, and accounting systems with hundreds of off-the-shelf connections, and eliminate manual matching and error-prone macros; it enables users to define custom matching rules, schedule automated reconciliations around the clock, and manage exceptions with full audit trails that track every action for compliance and reporting. It provides visual dashboards and custom reports that help finance leaders gain clear, real-time insights into cash positions, discrepancies, and performance, supports multi-currency and industry-specific use cases, including bank, PSP, client money, and journal entry reconciliation, and connects disparate sources via APIs or SFTP so teams spend less time on data preparation. -
5
AutoReconcile
AutoReconcile
AutoReconcile takes the manual process out of reconciling supplier statements; we automatically match invoices and allow you more time to work on the exceptions! AutoReconcile saves you time by automating the statement matching process. Reconciling statements used to take weeks, manually checking line by line each item, causing headaches and tired eyes. Talk about tedious! But now you can say goodbye to overspending hours on statement matching and reconciliation. AutoReconcile is capable of reconciling your accounts in just minutes. AutoReconcile is an innovative online accounts reconciliation system that automatically matches your statements and immediately shows any errors that have occurred. It’s a user-friendly statement matching system suited to businesses of any size. The system will correctly match your results within seconds. There are a few key filters we use to help this process.Starting Price: $100 per month -
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BankCube
Bank Cubes
It is a comprehensive solution that reconciles multi-sources with multi destinations based on business-defined rules to generate gaps in reports and set of actions. It is highly configurable solution that provides capabilities for different business reconciliation needs such as Nostro & Vostro, cards, SADAD, cheques, etc. It is integrated with the core system and other sources to collect data for reconciliation. It has different modules for reconciliation (account management, data management, reconciliation management, transaction management, reports, workflow engine). BanKCube™ provides financial solutions and security systems covering transaction banking for trade finance and cash management, workflows management, data security, dynamic data masking, bank reporting system, reconciliation system, and real-estate solutions. The solutions use a secured Web-based platform created based on best development practices. -
7
ZoneReconcile
Zone & Company
ZoneReconcile has been developed for NetSuite and natively in NetSuite. As such, it extends NetSuite’s core functionality and is tailor-made for growing international businesses. Automatically reconcile your bank account and credit card charges within minutes and save hours of manual processing daily. No hassle, no manual entry, and no errors. Depending on your bank, you can configure live bank feeds to push transactions into NetSuite automatically via ZoneReconcile. Speak to us about your bank and requirements to confirm if this would be an option. Most commonly, customers import statement files using ZoneReconcile. ZoneReconcile's configuration options allow you to automatically reconcile transactions based on multiple criteria. Most ZoneReconcile users implement a mix of automated reconciliations for certain transactions, while enabling a quick manual check of the suggested reconciliation before posting, to ensure there are no errors with critical financial transactions. -
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Cointab Reconciliation
Cointab
Cointab reconciliation software is an innovative solution for all your business reconciliation needs. The software enables businesses to complete their reconciliation process seamlessly. This is done by automating the process, from the input of data, cleaning it, running business rules and highlighting reconciled and unreconciled transactions. The software empowers decision makers and financial directors to streamline their internal processes to maintain accurate books of accounts and highlight discrepancies. Cointab’s reconciliation software is an automated software that provides an efficient way to accurately reconcile data. It achieves efficiency by automating multiple business reconciliation processes which include payment gateway reconciliation, bank reconciliation, cash-on-delivery (COD Remittance) reconciliation, Marketplace Reconciliation (Amazon, Flipkart and many more), fee verification, ERP reconciliation and order management system (OMS) reconciliation.Starting Price: $499 -
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RynohLive
Rynoh
RynohLive is a patented, web-based, “bridge application” that has revolutionized escrow account management practices. RynohLive integrates with the agent’s escrow accounting software and their online banking (read only) to provide the industry’s leading escrow and financial security software solution. We offer continuous end-to-end account auditing, daily reconciliation, transaction monitoring, anti-fraud algorithms and built-in automated reporting. With RynohLive, you can reconcile your account(s) on a daily basis, as recommended by the American Land Title Association’s Best Practices Pillar #2. We are the solution provider that allows for electronic verification of reconciliation, a critical distinction in following Best Practices. Also included with RynohLive is the reconciliation Wizard which easily identifies account inconsistencies and flags items that are preventing reconciliation. -
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Ascent AutoRecon
Ascent
Reduce idle funds with a 100% transparent software processing that offers clear visibility of your cash enabling smarter decision making. Mitigate operational risks through accurate, real-time reconciliations & statistics. Reconcile millions of records in the least possible time through our in-house researched & developed architectural models. Utilize system resources optimally through its easily scalable and clusterable engine. Easily deployable and readily configurable for a variety of organizations. Automate data pulls from source systems such as bank files, credit card merchant processors, Point of Sale systems to a robust, human error free ecosystem based on a truly user-centric design. bank reconciliation statement software Simplify Managerial tasks with solid security and simple access control. -
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Solvexia
Solvexia
Solvexia is an automated reconciliation software that helps finance teams accurately and efficiently reconcile data across multiple systems. It connects to diverse data sources, standardizes and validates data, and automates complex reconciliations for payments, accounts, transactions, rebates, and operational processes. Unlike traditional reconciliation tools that rely on manual spreadsheets, Solvexia supports high-volume, multi-source data and configurable matching rules. The platform provides real-time visibility, exception management, configurable workflows, and complete audit trails to support financial close, compliance, and reporting. With low-code automation and built-in controls, Solvexia enables finance teams to streamline reconciliation processes, improve data confidence, and scale reconciliation activities as business complexity grows. -
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ReconXi
ReconXi
ReconXi is an AI-powered financial reconciliation tool designed to automate the process of matching transactions, eliminating the need for manual effort and reducing errors. Users can upload bank statements and company ledgers in CSV format, and the AI swiftly matches records, providing clear status indicators for matched and unmatched transactions. It caters to a diverse range of users, including startups, small and medium-sized enterprises (SMEs), financial professionals, enterprises, educational institutions, and freelancers, offering tailored solutions to streamline financial operations. By leveraging ReconXi, organizations can ensure accurate financial records, minimize manual work, and focus on core activities without the hassle of traditional reconciliation processes. Starting Price: $10 per month -
13
Kani
Kani Payments
Fintech Reporting and Reconciliation, made simple with Kani. Save precious time and money on your essential payment reporting and reconciliation processes. Reporting & Reconciliation Tools BIN sponsors, challenger banks and other FinTechs are using our software to do two weeks’ of transaction reporting and reconciliation work in under 30 seconds. Reconciliation Platform. We know reconciliation is tough. Kani lets you reconcile complex and contrasting data sets in minutes, saving you time, cost and effort in the process. Transaction Reporting. Kani integrates with your existing transaction reporting software to automatically generate bespoke reports for your specific needs. QMR & QOC Kani can automatically generate Mastercard QMR and Visa QOC card scheme reports so you can be sure they’re taken care of. Business Intelligence. Data is king! Use Kani to dig deep into those numbers and make informed decisions about your business activities. -
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ReconArt
ReconArt
ReconArt is an enterprise-class fully web-based platform designed for end-to-end automation and integrated management of all data reconciliation processes. Our reconciliation software solution leverages best practices and technology in line with the digital transformation trends in finance & accounting. ReconArt’s integrated functionality supports all aspects of the reconciliation lifecycle : from administrative management and data integration, to robust transactional matching & exception management technology, to comprehensive, fully auditable balance sheet reconciliation, and other supporting functionality such as journal approvals and variance analysis. Through all this user-owned functionality, ReconArt supports any type of reconciliation, including but not limited to bank accounts, credit card, payments, GL/suspense, AR/AP, ledger to sub-ledger, intercompany, trades and positions, balance sheet.Starting Price: $300/month/user -
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LundiMatin Business
LundiMatin
To manage sales, purchases, stocks and services, LMB provides you with numerous tools to increase efficiency and productivity. It simplifies, reduces, and speeds up repetitive operations such as entering and processing business documents. LMB allows you to recover time because it considerably reduces administrative processing times. The dashboards and statistics provided by LMB enlighten you on the reality of your activity to analyze, plan and make strategic decisions. The Lundi Matin Business commercial management software allows you to perform a bank reconciliation between your bank account and your cash journal, and to carry out your accounting exports. The software recording the main accounting entries, all you have to do is easily export your sales journals, purchase journals and bank journals to your accounting firm. -
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Controlle
Controlle
Financial control. Everything to control the accounts payable and receivable from your company. Bank reconciliation. Import your bank statement and make bank reconciliations in seconds. Management reports. The reports you need to define the future of your business. Issuance of notes. Service invoice for more than 250 city halls. Integrated with finance. Overview. Discover all features All the financial management of your company in one place. Controlling your financial need not be boring. With Controlle you can organize your bank accounts, credit cards in one place, make reconciliations in seconds. Understand your business with easy-to-understand reports. Controlle has the main reports you need to give the right direction for your business: Cash flow report. Bank account position. Category reports. Custom reports. Cost Center. Controlle does the heavy lifting of financial management for you. So you have plenty of time to dedicate yourself to growing your businessStarting Price: $8.41 per month -
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RecWise
RecWise
A reconciliation should begin with comparing the General Ledger closing balance to the sub-ledger or other relevant sources (such as bank statements or other third-party documents). Differences between the two need to be investigated, quantified, and where possible, resolved by posting correcting journals to the general ledger or sub-ledger as required. Anomalies should be recorded as reconciling items to provide visibility. The balances should match and be fully supported with all documentation attached to the reconciliation. The review process ensures the reconciliation is complete, and you can also add a layer to approve the reconciliation being complete. A framework and a standardised process go a long way to improve the reconciliation process each month-end. -
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Paycile
Paycile
Paycile is an intelligent payment processing and reconciliation platform that simplifies how businesses handle incoming payments, automatically matches those payments to invoices or receivables, and delivers real-time clarity into transaction flows and financial records. It provides secure, bank-level encrypted payment processing combined with fraud protection and continuous analytics dashboards so teams can monitor reconciled and outstanding items without manual spreadsheets. Through its platform and APIs, Paycile integrates payment activity directly back to a company’s general ledger or ERP system to reduce manual accounting work, eliminate errors, improve cash flow visibility, and accelerate the reconciliation cycle with automated matching and reporting. Paycile's automated reconciliation transforms what is usually a reactive, error-prone task into a proactive control that saves time, improves accuracy, and supports faster decision-making by finance teams. -
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Ledge
Ledge
Ledge is an AI-powered finance operations platform designed to help finance teams automate and accelerate their month-end close and high-volume operational workflows. Rather than starting with spreadsheets each cycle, Ledge’s intelligent agents automatically populate reconciliations, journal entries, cash-application matches, and working papers using connected bank, ERP, billing, and payment-processor data, so when your team opens the checklist, much of the heavy lifting is already done. It supports continuous reconciliation of accounts, daily cash-application, and a close-checklist that behaves like an intelligent workbench; tasks come pre-completed, exceptions get flagged, approvals are tracked and audit trails link every item back to source transactions. Finance teams can therefore move from a reactive, end-of-month crunch to a forwmplex jouard-looking, context-rich review process where controls are strong, auditors are satisfied, and decisions are timely. -
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CashTrax
CashTrax
A fully automated reconciliation solution that will automate and standardize your account reconciliation process to generate real-time and accurate financial statements. Summarized view of real-time data, reconciliations with relevant statuses, breaks by age, interfaces, notifications and reminders. Customer-specific templates, matching rules, files interfaces and effective break management for performing automated reconciliations. Effectively manage reconciliation process between custodian accounts and internal accounting systems, funds and legal entities. Leaders can continuously monitor and evaluate performance to drive further process optimization by leveraging a combination of data. Process standardization, embedded internal controls, real-time reporting and dashboards, accounting and finance. -
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Continia Banking
Continia
Continia Banking streamlines and secures payment and reconciliation processes directly within Microsoft Dynamics 365 Business Central by automating your entire payment workflow. It provides direct, secure communication with banks, sending payment and direct-debit files, importing statements, and receiving real-time status updates and exchange-rate adjustments, while built-in validation checks and enhanced CSV import templates prevent errors at every step. Reliable reconciliations leverage advanced search rules in the payment reconciliation journal or bank account reconciliation to achieve up to 95 % match rates. Flexible payment exports offer both quick flows for summarizing multiple lines and advanced flows for per-line control, with transaction ID-based reconciliation, payment suggestion templates, and IBAN-driven bank details autofill. Secure approval flows support single-line or batch approvals, amount-threshold rules, field restrictions, and mandatory bank account verification. -
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Modern Treasury
Modern Treasury
Modern Treasury’s payment operations platform and flexible APIs enable you to add money movement and tracking to your products without the heavy lifting. There's a lot more to money movement than just moving money. Our APIs automate money movement at scale, including bank integration, payments, and reconciliation, while the web app provides complete control over fund flows with approval workflows, notifications, reporting, and more. We integrate directly with your bank instead of sitting in the flow of funds, so payments move 2x faster. Set up approval rules and track payments from initiation to reconciliation, with support for ACH, RTP, Wire and global payment methods through a single API and web app. We automatically reconcile completed payments to transactions on your bank statement as they are posted and match returns and reversals to the original payment, streamlining cash reconciliation.Starting Price: $499 per month -
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Sahaj Accounting
Sahaj Software
Sahaj accounting is a Complete Business Solution. It Just not helps you to get update but also to manage general ledger, payables, recievables inventory & Analytical accounting efficiently. In addition to performing bank reconciliation and collections, you can even manage your financial process across multiple users, locations or companies and consolidate the records. Various functions of accounting can be performed simultaneously. For example, a lengthy ledger can be printed, while the user enters invoices. Organization that have branches in multiple locations may encounter difficulties in optimizing operational efficiencies and control within their various branches. Sahaj Account has a powerful feature that enables you to capture information under various business attributes or parameters for subsequent analysis and printing of analysis reports under those attributes. -
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MyFundAccounting.Online
Data Developments
MyFundAccounting.Online is a double entry fund accounting package, designed to manage the accounts for churches and charities as required by the Charity Commission. It has a selection of pre-designed account structures for various different denominations and organizations throughout the UK, based on both Receipts and Payments and Pre-payments and Accruals systems. MyFundAccounting.Online easily handles funds, budgets, cost centers, standing orders, debtors and creditors, journal entry transactions and bank reconciliation. It has a large variety of reports including an in-depth and customizable transaction listings report, Balance sheet report, SOFA report, Statement of Asset and Liabilities report, budget reports, cost centre reports and much more. Create unlimited funds and nominal accounts, including income and expenditure codes, current assets, fixed assets and liabilities. Robust audit system maintained.Starting Price: $249.98 per license -
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Maxima
Maxima
Maxima is an agentic AI accounting and financial close automation platform built to transform enterprise record-to-report workflows by automating the most manual, error-prone tasks such as journal entries, reconciliations, transaction matching, variance and flux analysis, and close operations while keeping humans in control and compliant with audit standards like SOX. Its specialized AI agents pull data across systems, unify financial context with an Enterprise Finance Graph, generate logic-based journals at scale, validate general ledger accuracy in real time, and provide step-by-step evidence and audit trails so accounting teams can review rather than manually prepare work. Maxima works alongside existing ERPs, posting back automated entries, and consolidates tasks, reconciliations, and reporting into a single platform that reduces close time by days and eliminates repetitive workloads with up to high automation coverage. -
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Kosh.ai
Kosh.ai
Kosh AI is an innovative reconciliation automation software designed to simplify and optimize complex financial tasks. With its AI-driven automation, Kosh AI excels in bank reconciliation, treasury management, and streamlining reconciliation processes. The software integrates seamlessly with your existing systems, automating routine tasks, reducing manual errors, and providing real-time insights to enhance decision-making. By offering a customizable, user-friendly platform, Kosh AI helps businesses of all sizes improve accuracy, save time, and reduce costs. Whether you're managing multiple bank accounts or overseeing treasury operations, Kosh AI ensures efficiency, reliability, and scalability, making financial management smarter and more strategic. Unlock the full potential of your financial operations—get started with Kosh AI today and experience a more efficient, automated way to manage your finances! -
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Blue Onion
Blue Onion
Blue Onion is an AI-powered financial data platform designed to automate complex accounting workflows by transforming scattered transaction data into clean, reconciled, and audit-ready financial records. It connects directly to a company’s order systems, payment processors, and bank accounts, automatically ingesting and organizing financial data from multiple sources into a unified transaction hub. Using machine learning algorithms, it performs order-to-cash reconciliation by matching each sale with its corresponding payment transaction, processor fees, and final payout deposited in the bank account. This automated matching process creates a complete transaction-level audit trail that traces every order from the point of sale through payment processing to settlement, helping accounting teams verify the accuracy of financial statements and quickly identify discrepancies. -
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Atlar
Atlar
Atlar is a modern, AI-native treasury management platform that brings cash management, payments, cash-flow forecasting, investments, and bank/ERP connectivity into a single real-time system. It consolidates bank accounts, payment providers, and corporate finance tools so users can view balances, transactions, and liquidity across multiple banks, currencies, and entities, all from one central dashboard. Atlar automates accounts payable workflows, payment operations, bank reconciliation, and data syncs with ERP systems, eliminating manual file uploads, spreadsheets, and disjointed bank portals. With flexible, policy-aligned approval workflows, full audit trails, and layered security (including SSO and MFA), it gives finance teams reliable control over payments, permissions, and compliance. Advanced features include dynamic cash flow planning (forecasting and scenario modeling), custom dashboards, real-time reporting, and liquidity optimization. -
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Fizen
Fizen
With Fizen , manage your activity in real time while benefiting from a complete management and invoicing solution. Stop relying on your accountant to make decisions. Designed and used by accountants for VSE executives. No more accounting entries, account numbers, bank reconciliations... Let Fizen do it... all your simplified accounting in a single application. Accounting software and all the tools you need to save time and grow your business. Fizen is completely secure and puts its experts at your disposal to help you whenever you want. No more typing, Fizen automatically synchronizes with your bank. Possibility of synchronizing several banks at the same time, as well as the details of your deferred debit credit card statements. Your banking transactions are categorized and translated automatically in order to produce your accounting documents. Edit and personalize your quotes and invoices to send them and get paid with just a few clicks. -
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AME General Ledger
AME Software
This General Ledger can provide the necessary tools to keep your financial records accurately under control. Apart from the Standard General Ledger entries the program contains the following options along with the following reporting capabilities. Auto Setup Wizard for ease in setting up new accounts. Quick Entry method for After the Fact transactions. Cash Flow management. Seven preset Chart of Accounts or create your own. Unlimited number of vendors, journals, etc. Unlimited number of Departments. Recurring Entries. Bank Reconciliations. MICR Check printing. Creating and printing Form 1099. Fixed Assets & Straight-Line Depreciation. Yearly &/or Monthly Budgets. Business Consolidation. Posting capability from other AME Modules. Automatically set P&L Inventory using beginning and ending inventory. (no detail inventory tracking).Starting Price: $199.00/one-time -
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Trintech
Trintech
Trintech provides AI-enhanced financial close and reconciliation software designed to automate complex accounting processes and give finance teams more time back in their day. Its solutions streamline transaction matching, account reconciliation, intercompany accounting, journal entry management, and close task workflows. Through automation, Trintech reduces manual effort, improves accuracy, and strengthens audit readiness while delivering greater visibility across the financial close lifecycle. The platform offers real-time reporting and analytics so teams can make better decisions and provide strategic insights to the organization. Trusted by leading global brands, Trintech’s tools help finance teams work more efficiently and collaboratively. With its CoPilot Gen AI Assistant, customers further accelerate close activities and simplify everyday accounting tasks. -
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Onex Recon
Osource Global
Onex Recon is a Universal solution for Reconciliation. Utilizing industry best practices and scalable technology, Onex Recon Platform offers robust, flexible & robust reconciliation process. Onex Recon Platform provides a software solution to establish flexible & scalable high strength volume data reconciliation process. Software-as-a-service is a web-based on-demand software service provided by the Onex Recon tool. Users can check and sanitize data with this tool. It offers comprehensive AP, AR, trades reconciliation, credit card reconciliation, bank reconciliation, etc. Also, Onex Recon is a Highly configurable platform with workflows that are adaptable to any financial institution’s environment. It have Powerful reporting and visualization platform to analyze reconciliation performance, refine processes and reduce risks. -
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ZonePayments
Zone & Co
Businesses that thrive today and in the future have flexible and scalable technology that allows change and variation to unlock growth potential, not hinder it. ZonePayments gives you the simple and complex capabilities to adapt your lead-to-revenue processes when and how you need to. Seamlessly connect with 3rd-party payment providers, like Stripe, to collect customer payments and reconcile deposits directly within NetSuite, all without sacrificing control or compliance. Trust your data so you can focus on growing the business. Now you’ll be confident that your earnings are all recorded accurately and safely in NetSuite, not scattered among your different payment providers. Payments record your payouts and apply deposits to the right account directly in NetSuite. Goodbye errors, hello easy audit trails. Automated reconciliation means leaving the matching to the machine and the exceptions to the master. -
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Actuals
Actuals
Actuals is an advanced transaction reconciliation platform designed to help companies handling tens of thousands to millions of transactions automatically match and validate financial data across order, payment, settlement, and accounting systems, eliminating manual reconciliation and delivering a complete audit trail for every transaction. It creates clean, auditable accounting entries and serves as a central accounting engine that continuously verifies payments, refunds, and chargebacks against order and settlement records so finance teams gain real-time clarity into revenue, costs, cash positions, and mismatches without spreadsheets. With prebuilt integrations to payment processors, order systems, and accounting tools, Actuals automates root-cause analysis of anomalies, simplifies month-end and year-end closes, and improves operational control by providing detailed reporting, reducing errors, and lowering operational strain on ERP systems. -
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Comet Software
Boon Resources
The core Comet software package includes the Job Cost, Accounts Payable, General Ledger and Bank Reconciliation modules to get you off to a great start in organizing your financials. As your business needs grow, you can use all of the additional modules that are built right in, including Purchase Order, Accounts Receivable (Invoicing) or Warranty Management.Starting Price: $199.00/one-time/user -
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Evention
Evention
Evention is a leading edge software company focused on automating back-office processes. Evention takes pride in reinventing legacy manual processes with modern automation. Cash operations management carries cash into the digital age. Together, cash recycling, cash reconciliation, and courier management enable complete cash control for the back office. Manual gratuity management is time-consuming and error-prone. Ensure error-free and efficient gratuity distribution with Evention's Tips & Gratuities and Self-Service Tip Out solutions. Spreadsheets and manual tracking complicate credit card settlements. Credit Card Reconciliation by Evention removes the hassle by automating the reconciliation between the POS, the processor, and the bank. Consolidating the scattered, extensive, and complex components associated with billing group contracts, Group Billing by Evention simplifies group contract accounting and reconciliation. -
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Nota
Nota
Designed with attorney insights, Nota is a no-cost, cloud-based platform that provides business banking solutions for attorneys managing solo and small law firms. With 3-way reconciliation, check printing, and tool integration with your practice management, accounting and payment systems, Nota is banking designed to maximize your efficiency and offers transparent pricing and dedicated support from bankers who know attorneys. Set up categories and track income and expense items like payroll, rent, court fees and client payments. All money in and out of your checking account can be assigned to a category and tracked to the penny. No more using spreadsheets or ledgers to track your client balances. All money in and out of your IOLTA account can be assigned to a client matter and reconciled in real-time right down to the penny. Use Nota’s 3-way reconciliation report to support the reconciliation process. And you can print checks from your IOLTA to your home/office printer. -
38
HostBooks
HostBooks, Inc.
HostBooks transforms and enriches your accounting experience through its structured and automated cloud-based accounting platform. We help you effectively manage your business finances by combining the usual accounting practices with cutting-edge technology. Be it receivables, payouts, inventories or bank reconciliations, HostBooks cuts down the compliance time, boosts up your productivity, and reduces the operational costs.Starting Price: $9.99.00/month -
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Continia Payment Management
Continia
Continia Payment Management is an online payment solution embedded in Microsoft Dynamics 365 Business Central that consolidates all vendor, employee, and customer payments into a single payment journal, supporting multiple bank accounts and foreign currencies and enabling bulk payment initiation and swift, one-click approval and export to the bank while tracking status in real time. It offers direct bank communication for sending payments and receiving statements and exchange rates, automatic reconciliation powered by statement intelligence with configurable rules and unique transaction IDs, IBAN lookup to validate and generate international account details, and secure approval workflows with batch or individual line approvals, auto-detection of low-risk amounts, and bank account verification to prevent fraud. Users can summarize payments per vendor to reduce fees and match customer transactions via payment service provider integration. -
40
IACT
APPBOX
Online small business solution that integrates accounting, payroll, appointment booking and POS invoicing system. Access your business information anytime, anywhere. Create sales & purchase invoice, different types of journal posting, easy to use bank reconciliation, easy navigation to view all related entries, fixed assets, approval on the go, view income statement and balance sheet on the fly API to link e-Commerce store to your system for Invoice generation, easy recon between NETS/CC and POS receipts, snap a picture of receipt and submit expense claim, online booking & package purchase, flat rate of Credit card fee at 3.6% + 0.50 per transation. No additional payout feeAllow you to book appointments, print receipt and perform daily settlement. Allow customers to buy packages and utilise later. Create payslip for your staff. Send commission and payslip to all recipients. Export csv file and upload payroll to bank.Starting Price: $40 per user per month -
41
Nilus
Nilus
Nilus is a plug-and-play platform that automates reconciliation, reporting, and payment workflows for finance teams. Streamline your financial workflows with the click of a button. Take better and faster decisions with a unified financial hub that combines data from your providers, backend systems, and ERP into a single source of financial truth. All your payments and financial data are in one place. Get a real-time view of all cash balances, collections outstanding, chargebacks, and fees. Minimize loss, reduce errors, and catch issues faster with automated reconciliation and payment flows. Stay compliant with full audit trails, event logs, point-in-time reporting, and approval workflows. Put an end to the error-prone manual processes with fully automated and configurable reconciliation workflows. Get real-time visibility and reporting of reconciled financial activity down to the transaction level. -
42
FlexPoint
FlexPoint
With FlexPoint, payments are simple, and cash flow is made perfect. Automate your billing operations to increase efficiency and cash flow. Eliminate manual processes and make getting paid simple. Automate the entire reconciliation process from invoice to deposit. Get paid securely and online, while maintaining the brand your clients trust. Give your clients a billing experience that matches your customer service. The ultimate platform to grow your business through payments. A single solution to help your business simplify billing. No long-term contracts are necessary. Increase the predictability of your cash flow and eliminate surprises through our powerful billing automation. Create custom rules to automatically get paid on invoices. Set custom rules for all clients or specific rules for certain clients. Remove manual payment reconciliation between the tools you use. Eliminate the need to manually reconcile bank deposits. -
43
T-Recs
Trintech
Accurately reconciling accounts and identifying the source of missing funds prior to issuing financial statements is challenging, especially if you’re using spreadsheets as part of this process. The necessary steps for reconciliation are extremely tedious, and spreadsheets are particularly labor intensive, error-prone, insecure, unverifiable and, often, inconsistently processed. What’s more—today’s compliance-focused environment, driven by Sarbanes-Oxley (SOX) and several other regulatory requirements, means that the scrutiny of internal controls, data security and process flows will only increase. For these reasons, unidentified errors and poor reconciliation compliance will quickly lead to serious consequences. T-Recs by Trintech offers a complete control framework for daily, monthly and periodic reconciliation. -
44
Stacks
Stacks
Stacks is an AI-powered financial close and accounting automation platform designed to help finance teams complete month-end processes faster and with greater accuracy. It centralizes financial workflows into a single workspace where organizations can automate reconciliations, journal entries, variance analysis, and reporting while staying fully synchronized with their ERP systems. It uses agentic AI to learn from accounting data and team behavior, enabling it to match transactions, flag discrepancies, and generate explanations automatically within a controlled, auditable environment. Teams gain real-time visibility into tasks, deadlines, and financial trends through dashboards that track progress and highlight risks before they escalate. Stacks is built to reduce manual spreadsheet work and fragmented processes by consolidating data across entities and currencies while maintaining strong governance and traceability. -
45
Loop AI
Loop AI
Loop AI is a fully automated delivery intelligence platform that uses artificial intelligence to help modern restaurants and digital food brands streamline complex operational and financial tasks associated with third-party delivery services like Uber Eats, DoorDash, and Grubhub by automatically handling delivery revenue reconciliation, financial reporting, operational measurement, and error reduction, so teams spend less time on manual bookkeeping and more on growth. It acts as an “agentic co-worker” for restaurant back offices, integrating with accounting systems to automate creation of journal entries, reconcile chargebacks, and provide transparency into delivery performance while helping operators uncover hidden revenue opportunities, protect margins, and make data-driven decisions. Loop AI also offers delivery analytics, trend insights, and automation of repetitive workflows so restaurant staff can minimize errors. -
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Companio
Companio
Companio is an all-in-one digital business management and accounting platform that helps entrepreneurs and online companies automate and centralize their financial, compliance, and administrative workflows in one dashboard. It combines multi-jurisdictional accounting, invoicing, tax filing, bank reconciliation, and compliance reporting with smart automation and expert support, eliminating manual spreadsheet work and saving time while ensuring regulatory accuracy across Estonia, Spain, Bulgaria, and Ireland. Users connect corporate bank accounts (including support for 2,000+ EU banks and crypto tracking), and the system automatically processes transactions, matches invoices (with tools like an automated invoice inbox), and generates required reports; Amazon FBA sellers benefit from direct sync for sales and VAT compliance.Starting Price: €79 per month -
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Account Control
Save Solutions
It’s easy to get started with smarter account reconciliation. Let Account Control do the job for you and balance your records in record time. An easier and smarter method of account reconciliation and control. Account Control is a solution that takes financial management and reporting to the next level. Automatic reconciliation that gets progressively better. Our automatic reconciliation system learns as it goes, and optimizes itself automatically based on your transaction pattern. Account Control runs directly in your browser with secure cloud storage. With support for two-way integration with all common ERP-systems, you can get started more quickly and your company’s data is both accessible and safe. Solve problems before they happen. Account Control shows you your financial status from day to day. It also provides you with tools that helps you meet deadlines and maintain good routines. -
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BlockEx
BlockEx
White label portal - your brand high frequency trading system and matching engine fix and API trading robust middle office and reporting. BlockEx provides a complete white label end to end trading solution, that allows brokers and businesses to offer cryptocurrency trading to their customers with liquidity, custody and banking built in. A dedicated site for BlockEx trading portal demonstration. Enterprise-grade trading system, matching engine, middle office and built-in banking. Software skin and configuration for brokers. Middle office, reconciliation and reporting system. Built-in wallet and crypto custody solution. Built-in banking, KYC and payments rails. -
49
uiAgent
uiAgent
uiAgent is an AI-driven automation platform built specifically for accounting teams and firms that embeds an intelligent agent called Ava directly into existing accounting tools and workflows to automate repetitive, detail-oriented tasks with high accuracy. Instead of forcing teams to migrate systems or learn new software, Ava works within current ledgers, file systems, and processes to extract data, reconcile accounts, match transactions, flag anomalies, accelerate the month-end close cycle,s and produce audit-ready documentation while maintaining a complete trail of actions. It turns complex accounting queries into conversational interactions so users can ask questions about financial data and receive real-time insights without sifting through spreadsheets manually. It seamlessly integrates with both modern and legacy systems, enabling data extraction and automation across bank reconciliations, journal entry creation, fraud detection, and other core workflows. -
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Frontier Reconciliation
Fiserv
Even with strict regulations for accurate and compliant financial reporting, many organizations still use manual or semi-automated processes for reconciliation and certification. Such processes can result in errors, operational inefficiency and lack of visibility into the numbers during certification. A comprehensive end-to-end reconciliation and certification solution, Frontier™ Reconciliation from Fiserv forms a complete account reconciliation picture across your enterprise that makes exceptions instantly visible and reduces manual interventions. Workflows fully automate labor-intensive processes and ensure compliance with corporate and regulatory controls. But reducing errors and write-offs is only part of the picture. By minimizing the need for manual research or interventions during the reconciliation process, organizations can achieve major efficiency improvements and lower operational costs while enabling staff to perform more value-added work.