Products
LT-Reconciliation
Our Reconciliation System is an intelligent, end-to-end solution designed to help organizations automate, manage, and validate financial data with precision. It ensures that transactions from multiple data sources — such as bank statements, ledgers, and internal systems — are accurately matched, discrepancies are flagged instantly, and financial integrity is maintained effortlessly.
Key Features
Automated Data Matching
Automatically compare records across multiple data sources to detect variances and unmatched transactions in real time.
Multi-Source Integration
Import data seamlessly from bank statements, ERP systems, accounting software, or custom data feeds in various formats such as CSV, Excel, or API connections.
Configurable Matching Rules
Define flexible matching rules based on your business logic — including amount, reference number, date range, and transaction type — to adapt to your unique reconciliation process.
Why Choose Our System
- Save Time & Effort — Automate repetitive reconciliation tasks that would otherwise take hours or days.
- Reduce Errors — Ensure accurate financial reporting and regulatory compliance.
- Gain Visibility — Track the entire reconciliation process from import to resolution through an intuitive dashboard.
- Scalable & Secure — Built to handle high-volume data while maintaining enterprise-grade security standards.

Whether you are reconciling bank accounts, payment systems, vendor ledgers, or internal transfers, our Reconciliation System empowers your finance team to close faster, smarter, and with full confidence in every figure.
