Bank Reconciliation Tool
Unbiased, decoupled, and fast matching engine for accountants, CAs, and businesses. Upload your files and let our multi-pass algorithm sort splits, consolidations, and reversals in seconds.
Reconciliation Workspace
Match bank statement transactions against book records fully client-side.
BANK STATEMENT
PDF · CSV · OFX · QBO
Drag & drop or click to browse
BOOKS / LEDGER
CSV · PDF · IIF · QIF · OFX
Drag & drop or click to browse
🔐 Privacy Secured Compliance
All files are parsed and evaluated directly in your local browser sandbox. They are never uploaded or persisted on any remote server disk. Reconciliations are executed as clean stream calculations complying fully with the India DPDP Act 2023.
Supported File Formats
Wide compatibility with leading commercial banking systems and books ledgers.
🏦 BANK CHANNELS
📁 BOOKS & LEDGERS
Tally Ledger Export Guide
How to export your bank ledger data correctly for matching.
Gateway of Tally → Display More Reports → Account Books → Ledger.
Choose the target bank ledger from your list of active accounts.
Press Alt + F2 to select the exact date window matching your bank statement.
Press Ctrl + E, click Configure, set File Format to CSV, and Export.
Date, Narration, Debit / Withdrawal, and Credit / Deposit. Columns are mapped automatically on ingest.Frequently Asked Questions
Quick answers regarding calculations, privacy, and matching passes.