Automated GL & Bank Matching
Transactions are matched across bank feeds, GL entries, and sub-ledgers without manual tick-and-tie.
AI Financial Reconciliation matches every transaction across your GL, bank statements, and sub-ledgers automatically surfacing only the discrepancies that actually need an accountant's judgment.
Start ConsultationReconcile the operating bank account against the GL for March close.
Matched 1,812 of 1,840 transactions. 28 unmatched items flagged, mostly timing differences. Reconciliation summary ready for sign-off.
Auto-clear anything under $50 next cycle.
Moving beyond manual tick-and-tie into automated, audit-ready reconciliation.
Transactions are matched across bank feeds, GL entries, and sub-ledgers without manual tick-and-tie.
Timing differences, duplicates, and true breaks are classified automatically, not lumped together.
Reconciliations that took days are ready for review the same day transactions post.
Every match, exception, and sign-off is logged automatically for auditors and controllers.
Pulls bank feeds, GL entries, and sub-ledger data into one matching engine that clears the routine work and routes only real breaks to your team.
Reconciles accounts across subsidiaries and entities in parallel, including intercompany eliminations, from one control view.
Matching logic improves from every reviewed exception, shrinking the exception queue each cycle.
Structured review and approval flow keeps every reconciliation audit-ready before it's closed.
See how AI Financial Reconciliation changes close speed for accounting teams.
Percentage of transactions reconciled automatically without manual tick-and-tie.
Average reduction in month-end close time after rollout across core accounts.
Based on 3 accountant-days recovered per close cycle at a fully-loaded daily rate.
One reconciliation engine, configured for any chart of accounts you already run.
Reconciles payment processor payouts, marketplace fees, and bank deposits automatically, so revenue recognition closes faster.
echoBitz connects AI Financial Reconciliation directly to your current accounting and banking tools. No platform migration required. Matching runs from day one.
Get a tailored reconciliation rollout plan built around your chart of accounts and start clearing routine matches automatically from day one.