Manage Documents.
Match Payments.
Reconcile Debt.
One platform for customer files and intelligent debt reconciliation
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Store & Organize
Keep all customer documents, certificates, and records in one secure place
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Match PDCs with Statements
Upload customer statements, our system automatically matches them with post-dated cheques
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See Who Owes What
Real-time view of outstanding balances and which cheques cover them
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Smart Suggestions
Don't guess — let the system suggest which cheques to use for each statement
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📈
Know Your Risk
See which customers need attention based on overdue payments and coverage gaps
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🖨️
Reports at Your Fingertips
Print or export reconciliation summaries with one click
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Know exactly which invoices are covered — No more manual matching
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Reconcile in seconds — Not hours of spreadsheet work
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Every action tracked — Full audit trail for accountability
Used by finance teams to reconcile thousands of cheques monthly