Bring clarity, consistency, and trust to every workflow
Automate key financial controls across data collection, reconciliations, close processes, and compliance, so your team works with clean, reliable information every day.

PROUD TO BE BACKED BY INVESTORS AND EXECUTIVES FROM TOP-TIER COMPANIES WORLDWIDE
Reiterate for financial control
Your partner in optimizing payment workflows, strengthening security, and ensuring cost efficiency.
Complete financial visibility over payments
Monitor transactions, payment solution provider performance and costs
Maintain comprehensive audit trails of transaction data, enhancing trust with payment providers and regulators
Leverage accurate and clean financial data to empower strategic decision-making across the finance and business teams

Stronger internal controls
Automate the reconciliation process to ensure timely and accurate matching of transactions
Meet financial regulations and standards with ease, reducing the risk of non-compliance and associated penalties
Utilize fee reconciliation to implement strong internal controls to detect and prevent fraudulent activities

Enhance efficiency and maintain accuracy
Use tasks and workflows to streamline your team's work and reduce manual efforts
Integrate with your back-office, PSPs, and accounting platforms to automate data flow and ensure data integrity
Easily manage large volumes of transactions and complex contract terms, ensuring your financial operations can scale with your business

Book a demo
See Reiterate OS in action
Book a demo to see how Reiterate OS automates reconciliation, data collection, and month-end close for finance teams.
Works with the tools you already use
Connect your existing finance software and files to create a unified data ecosystem for your finance operations. No rip-and-replace required.
Run your entire finance operation from one system
From data collection to reconciliation to month-end close, Reiterate OS runs the workflows your finance team depends on, with complete auditability and control.
Upload 20–200 invoices at once. The pipeline runs in parallel — extraction, classification, and validation happen simultaneously.
Match and verify transaction records between payment solution providers and your back-office
Match bank statement and general ledger transactions in minutes instead of hours
Build custom reconciliation rules for complex matching scenarios without writing code
Monitor your payment solution provider's performance and optimize costs
Estimate monthly transaction fees and compare them with settlement statements
What our customers say
We have transformed our back-office efficiency, reducing payment processing time with 100% automated data entry while dramatically improving accuracy.
Reiterate has become an essential part of our reconciliation process. Since integrating Reiterate, we've reduced manual tasks, gained better visibility, and achieved faster results overall.
In payments, transparency is paramount. Thanks to Reiterate's speed of delivery and underlying technology, we've reached a level of transparency previously unseen in our industry.
Reiterate has enabled us to automate payment reconciliation across a wide range of PSPs in different markets, and also provided critical visibility into fee structures and settlement discrepancies.




