RekonIQ
Reconcile faster. Resolve exceptions with confidence.
RekonIQ turns bank-statement reconciliation into a tracked, collaborative workflow, helping finance teams match payments, explain mismatches, and close exceptions in real time.
Missing remittance advice for 3 high-value payments.
Assigned to finance ops and closed in-thread with evidence.
Upload & match
Parse statement PDFs and internal payment CSVs in one flow and score every line automatically.
Exception workflow
Capture unmatched items, assign ownership, escalate when needed, and resolve with required reasons.
Audit-ready trail
Every match, action, escalation, and closure is timestamped and visible in one workspace.
Why teams use RekonIQ
A workflow your finance team can trust.
• Reduce manual reconciliation effort across large statement batches.
• Keep exception ownership visible and accountable.
• Produce a clear audit trail without rebuilding history later.
Customer stories
“We cut reconciliation time from days to hours.”
“Our finance team now reviews exceptions in one place, with contextual notes and a clean record of every decision. It feels like having a dedicated reconciliation teammate.”
Lena Walker
Finance Director, Northwind Labs
Simple pricing
- • Unlimited reconciliations
- • Slack-first workflow
- • Exception tracking and audit logs
- • Team collaboration tools