What's included
Everything you need โ nothing you don't.
๐ฅ
Statement Import
Upload CSV or Excel bank statements. Finova parses them automatically.
๐ค
Auto-Matching
Transactions matched against ledger entries by amount, date, and reference.
๐
Discrepancy View
Unmatched items highlighted. Investigate and resolve with one click.
โ
Reconciliation Sign-Off
Mark periods as reconciled. Lock against further changes.
๐ฆ
Multi-Bank
Manage multiple bank accounts and currencies simultaneously.
๐
Reconciliation Reports
Full reconciliation summary for auditors and management.
๐
Opening Balances
Import historical balances when migrating from another system.
๐
Period History
View past reconciliation periods. Reopen if corrections are needed.
WHO IT'S FOR
Built for businesses like yours
Whether you're running a single outlet or a multi-branch operation, Bank Reconciliation adapts to your workflow.
Accountants
Finance managers
Trading companies
Any business with a bank account
Works great with
These modules connect seamlessly with Bank Reconciliation.