Daily Revenue Reconciliaton

Broker Statement Reconciliation

Automates the matching of transactions between billing system and broker statement data.

Reminders & Collaboration

Key Capabilities

Sync Broker Statement Data

Sync Broker Statement Data

Sync broker statements, including transactions, commissions, and fees.

Sync Billing Data

Sync Billing Data

Sync invoice details, amounts, and dates from the internal billing system.

Sync ERP AR Subledger

Sync ERP AR Subledger

Synchronize accounts receivable (AR) details for sales transactions.

Discover Matching Rules

Discover Matching Rules

Identify patterns and rules for matching billing records with broker statement entries.

Match Billing To Broker Statement

Match Billing To Broker Statement

Apply matching rules to align billing records with broker statement entries.

Review Exceptions

Review Exceptions

Flag any exceptions or unmatched items for manual review.

Journal Creation

Journal Creation

Automate the journal preparation for adjusting over issued goods' amount value.

Journal Posting Workflow

Journal Posting Workflow

Automate journal posting to the ERP after approval.

400+ Enterprise Customers
Enterprise Customers
600+ Mid-Market Customers
Mid-Market Customers