Reconciling checks manually?
Blink twice if you need help.

Let AI handle the mess. We extract, match, and categorize checks
automatically
with accuracy to save you time.

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THe Problem

Bank Statements + Checks = Chaos

Hard-to-read checks and manual reconciliation slows down your workflow.

Illegible checks

Mixed PDFs

Hours doing manual checks

THE SOLUTION 

Not a platform. Just a fully solved problem.

We take your CSVs and PDFs, even messy ones, reconcile the checks and return categorized transactions and general ledger entries ready for your books.

Reconiled checks to backs statements

Accurate bank statement categorization

Auto-generated journal entries in Excel format

How It Works

Bank Statement Reconiliations in 3 Steps

Upload Bank Statements and Check Images  

CSV, Excel, PDF, whatever you’ve got, we don’t judge.

Our AI gets to work

We automatically reconile check images with bank statements, categorize transactions, generate journal entries, and flag anomalies.

Everything is formatted and export-ready.

Review and approve

You receive a clean excel sheet with all journal entries complete faster than you can say “What expense is Check 135 associated with"?

Why Accountants and Book Keepers Love Us

20–30 hours saved per month

Auto-generated Excel outputs & journal entries

Scales easily to new clients or categories

Simple to use — no technical training needed

Complements your existing  software

Testimonials

“This completely changed the way we handle client books — it’s like an invisible team member.”

Partner, Cohen and Sons

“I used to spend hours categorizing. Now I get clean entries and reports automatically.”

Samira G., Freelance Book Keeper

Who It’s For

Book Keepers

Cut hours of manual work and deliver spotless, clean books in minutes.

Accounting Firms

Spend less time on tedious reconciliation and more time growing your client base.

Smarter Bookkeeping Starts Here

Join firms like Shah & Sons who are reclaiming their time with AI-powered workflows.

Get Started Free