Reconciliation Software for Operations
Tools that automatically match and reconcile transactions across multiple systems, identify discrepancies, and facilitate resolution processes.
Other Operations
Offers a comprehensive solution to manage reconciliation processes across accounts, ensuring accurate and timely financial reporting along with improved compliance.
Provides real-time transaction reconciliation capabilities, highly configurable rules for matching, and advanced analytics for performance insights.
Full-cycle reconciliation platform supporting cash, position, trade, and broker reconciliations. Features include bulk matching, exception management, audit trail, and dashboard reporting.
Multi-asset reconciliation platform that aggregates, matches, and manages exceptions across a variety of asset classes to support brokerage, custody, and transfer agency operations.
Investment reconciliation system designed for portfolio accounting, featuring automated exception management, transaction-level matching, configurable workflows, and integration with major portfolio management systems used in brokerage operations.
Cloud-native reconciliation solution integrated with LUSID platform, providing bi-temporal data storage, configurable matching rules, exception management, and a complete audit trail for brokerage operations.
AI-powered reconciliation platform with automated data capture, intelligent matching, exception management workflows, and real-time reporting designed specifically for brokerage back-office operations.
Cloud-based reconciliation platform with automated data ingestion, AI-powered matching, exception management workflow, and advanced reporting. Specializes in NAV, holdings, and transaction reconciliations for brokerage operations.
A comprehensive reconciliation solution that automates matching processes, identifies discrepancies, and manages exceptions efficiently. Features customizable matching rules, workflow automation, and audit capabilities for regulatory compliance.
A post-trade issue resolution platform that complements reconciliation systems by providing a structured workflow for resolving breaks and exceptions across organizations. Features include smart routing, prioritization, and SLA tracking.
End-to-end reconciliation solution that automates the matching of transactions across multiple systems. Includes exception identification and management, configurable matching rules, workflow automation, and comprehensive reporting for compliance and audit purposes.
End-to-end reconciliation platform with comprehensive data management capabilities. Features include automated data ingestion, configurable matching rules, exception management workflows, and robust reporting tools. Supports various reconciliation types including cash, securities, and regulatory reconciliations.