Reconcile deposits in minutes
Upload a CSV or connect your systems. We align POS, loyalty redemptions, and bank deposits—surfacing mismatches instantly.
Tri-source matching
POS transactions, loyalty redemptions (Allē, Aspire, Merz), and bank deposits matched with probabilities and rationales.
Exception center
One queue for underpayments, mixed tenders, timing drifts, and descriptor ambiguity—approve, deny, or flag for audit.
Receipts to revenue
Tie deposits to services, providers, and campaigns—see impact by treatment and loyalty program.
How it works
- 1. Ingest
Upload CSVs or connect EMR/POS and bank aggregator.
- 2. Match
Hybrid rules + ML align amounts, timestamps, and descriptors; explain every decision.
- 3. Resolve
Fix exceptions fast; export results or sync back to your system.
Why it pays
- Recover missed loyalty reimbursements and mixed-tender undercharges
- Cut manual reconciliation from hours/day to minutes
- Audit trail and rationale for every match and exception