
We are building the intelligent automation layer for accounting teams, turning weeks of manual transaction matching into minutes of automatic approval.
Bank reconciliation is the foundational step of every accounting close. Yet, for decades, it has remained a highly manual process—requiring skilled accountants to scroll through thousands of lines of CSV and PDF bank statements, matching them line-by-line with internal ledger entries.
We believe that human intelligence should be spent on interpreting data and advising clients, not copying and pasting values.
Financial data is highly sensitive. We build with strict isolation and row-level security policies to ensure data integrity.
We design tools that adapt to how accountants actually work, offering manual override screens for complex exceptions.
If a task can be solved using fuzzy match logic or intelligent parsing algorithms, it should be automated.