Automate accuracy. Simplify finance.
miFIN™ Reconciliation is a single, unified platform that brings your entire reconciliation process together — from raw data to final report. Built as 8 purpose-designed engines working as one, it handles everything from onboarding a new data file to closing the books, so your team spends less time chasing mismatches and more time on work that matters.
From data chaos to financial clarity
miFIN™ Reconciliation takes reconciliation from a manual, file-by-file chore to a smooth, end-to-end flow — so every ledger, every time, reflects the truth.
Import
Match
Validate
Resolve
Report
Why choose miFIN™ Reconciliation
Higher Accuracy, Lower Risk
Automated matching and validation remove manual data entry from the equation, cutting human error close to zero and strengthening compliance at the same time.
Faster Closures
Continuous, real-time matching shrinks month-end close from weeks to days, freeing your finance team to focus on analysis instead of chasing breaks.
Unified Data View
One platform gives you a single, consolidated picture of every transaction — across systems, business units, and partners — instead of scattered spreadsheets.
Audit-Ready Reporting
Every action is logged automatically, with before-and-after snapshots and a complete, traceable history — so you’re audit-ready every day, not just at quarter-end.
DIY Configurability
Business teams can configure and launch new reconciliations end-to-end themselves — matching rules, tolerances, file formats — directly in the platform, with no IT ticket and no waiting on developers.
Seamless Integration
Designed to plug into your existing core banking, ERP, and payment systems, so it fits into how your organization already works — without disruption.
Here’s what we bring to the table
Multi Use-Case Compatibility
Reconciliation for every use case — across departments, systems, and data sources. One unified platform for all your recon needs.
Regulatory Compliance Built-In
Independent maker-checker approvals, full role-based access, and complete audit trails are built into every workflow — supporting the compliance and reporting standards financial institutions are held to.
Automated Exception Handling
Discrepancies are caught and routed automatically, with clear rules guiding how each type of exception gets resolved — reducing the manual triage that slows teams down.
Real-Time Dashboards
Visualize reconciliation status, exception trends, and team activity through intuitive, drill-down dashboards that give leadership a live view of where things stand.
Multi-System Compatibility
The platform learns from recurring exceptions over time, continuously sharpening its matching accuracy so recurring issues get caught earlier and resolved faster.
Scalable and Secure
Built to handle billions of records without added headcount, on an enterprise-grade architecture that scales with your data and holds to strict security standards.