Use Case
Own your reconciliation processes end-to-end, cross-asset, with one platform to achieve total control. Maximise insight match and verify data between internal systems (like general ledgers, trading platforms, and payment systems) and external sources (such as custodians, counterparties, and clearing houses). It automates the identification of discrepancies, supports exception management workflows, and ensures timely resolution of breaks. Common use cases include cash and securities reconciliation, nostro account reconciliation, and fee and expense validation.