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  1. 100% Eradication of Transaction Leakages.
  2. 95% Faster Entry to Market.
  3. 90% Enhancement in Back Office Operations.

Solutions/Use-Case

Maximize revenue and eliminate reconciliation bottlenecks across accounts, currencies, and entities

Reconcile All Transactions Between Networks, Banks, Cores, and Processors and never miss a Penny

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AI-Powered Smart Matching

Match all transactions with bank statements, invoices, receipts, AP/AR Ledgers, General Ledgers automatically, eliminating human error and detecting anomalies instantly

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Multi-Currency and Multi-Entity Support

Streamline multi-account, multi-currency, and intercompany reconciliations with automated conversions and compliance-ready consolidation.

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Robust Audit Trails and Compliance

Leverage detailed audit trails ensure compliance, enhance audit readiness, and improve financial transparency.

Featured Clients

Benefits

Balance accounts to the penny across the money movement lifecycle for Banks, Credit Unions, and Payment Companies

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3-Way Reconciliation

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Transaction Matching

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Account Exception Reports

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Revenue calculations

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MasterCard QMR

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Automated Money Movement

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Visa QoC

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Billing and Financial Report

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QMR and QoC reporting

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Call Reporting

Account for every single penny

Reconcile transactions across multiple card programs, ACH, and other payment types with unmatched speed and accuracy

  • Visa Network Files (VSS)
  • Mastercard network files (EBCDIC)
  • ACH Files
  • Wire Files/Messages

  • RTP/FedNow Messages (20022)
  • Bank/Core Files (BA12)
  • Processor files from 50+ processors such as Galileo Marqeta, FIS, Fiserv, i2c, etc.

Use cases

Seamless Bank Reconciliation

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FBO & DDA Reconciliation
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Network Reconciliation
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GL Reconciliation

Ensure Accurate Reconciliation of Customer and FBO Accounts

Optimize financial accuracy with our FBO and DDA reconciliation solution. Whether you're managing a single account or millions, our software ensures precise reporting, detecting exceptions and resolving imbalances caused by payment complexities.

  • Reconcile customer accounts effortlessly, regardless of scale.
  • Detect and resolve discrepancies in FBO accounts due to settlement complexities.
  • Access daily reports that ensure complete financial accuracy.

Your back-office on cloud

One Platform. Seamless Reconciliation Solutions

No more manual processes. Our automated solutions streamline tasks that support your finance and payment back-office, empowering teams to be more agile, innovative, and productive.


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Data Preparation
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Reconciliation
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Ledgers
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Analytics & Reporting
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Fees & Commissions
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AI in Payment Reconciliation

Redefining Data Preparation In A Better Way

A fresh approach to data gathering, normalizing, and transforming operational data quickly and effortlessly, without coding even in highly regulated and controlled environments.

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Gather, validate, normalize, and transform operational data
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Architect custom business workflows in no time
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Ensure the integrity and accuracy of your data
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Secure financial data in PCI-DSS certified cloud data mart
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All this without writing a single line of code
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Reconcile Every Cent with Precision

Optimus Fintech is your trusted partner to streamline financial operations designed for banks and financial institutions. By automating daily balancing, journal corrections, and reconciliation processes, we ensure precision and consistency to your business while centralizing financial controls and policies.
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Frequently Asked Questions For Bank Reconciliation

What is Bank Reconciliation?


Why is Bank Reconciliation Important?


How does automated bank reconciliation software work?


What Features Should I Look for in Bank Reconciliation Software?


Can small businesses benefit from bank reconciliation?


How Does Optimus Ensure Accuracy in Bank Reconciliation?


Can Bank Reconciliation Software Handle Multiple Bank Accounts?