Keep reconciliation data in sync with your accounting software
Send accurate payment data to your ledger accounts and ensure factual reporting across all your financial platforms.

Get your ledger entries right for a seamless financial close
Speed up your month-end close process and close the books confident that your financial records are accurate.

Get accurate transaction data
Automate transaction reconciliation between your back office and payment solution providers. Use custom workflows to map transaction data with their corresponding ledger accounts.

Keep your books in sync
Ensure all your numbers are accurate and sync this data with your accounting system. Set data sync frequency and automatically create ledger entries for successfully matched transactions.

Start a new month with ease
Close your books with assurance that your financial statements are factual and that all transactions have been accurately accounted for. Ensure your financial records are transparent and begin a new month with correct balances.
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See Reiterate in action
Discover how you can streamline payment reconciliation with fully automated data collection, near real-time transaction matching, and custom finance workflows.
All you need for payment reconciliation and more
Whether you're navigating complex payment structures or seeking a reliable partner for finance workflow management, Reiterate provides the tools and insights you need for complete financial control.
Fully automate data collection from any payment solution provider’s platform in minutes
Match and verify transaction records between payment solution providers and your back-office
Monitor your payment solution provider's performance for optimized spend and cost management
Connect with PSPs and accounting platforms like Xero to ensure data accuracy across all your tools
Estimate monthly transaction fees and compare them with settlement statements
Streamline your financial workflows to improve efficiency and reduce manual efforts
Get detailed insights into your financial operations and make data-driven decisions
Test it for free: Match financial records with bank statements for complete financial integrity.
One solution for your entire team
Bridge the gap between your finance and payment operations with a unified platform where both teams can collaborate effectively.
Chief Finance Officer – Gain complete financial visibility with real-time data for informed decision-making and optimal cash flow
Financial Controller – Ensure payment data integrity with automated reconciliation that eliminates errors and provides audit-ready reporting
Finance Manager – Reduce reconciliation time, eliminate payment discrepancies, and extract actionable insights from financial data
Accountant – Maintain accurate, up-to-date books with minimal manual intervention
Head of Payments – Maintain oversight across all your PSPs with centralized payment data and automated discrepancy detection.
Payment Manager – Automatically identify payment discrepancies and track payment provider performance
PSP Account Manager – Track PSP performance while maintaining oversight of vendor relationships to ensure optimal commercial terms
PSP Analyst – Access comprehensive reconciliation metrics to analyze payment success rates, settlement times, and fee accuracy
Ensure data flows smoothly across the platforms you use
Our goal is to enhance, not replace, your existing financial tools. We integrate with your preferred finance software, creating a data ecosystem for streamlined finance operations.

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Hundreds of more integrations available
Connect with our experts to tailor Reiterate to your specific needs and requirements