Back to Finance
Finance
Bank Reconciliation
Match bank transactions to student payments automatically. Reduce 2 days of work to 2 hours.

Key Features
Import Any Bank Format
Upload CSV or Excel statements from any Philippine bank. Simple field mapping gets you started fast.
Smart Auto-Matching
System matches deposits to payments automatically. Only exceptions need manual review.
Multiple Bank Accounts
Track all your school's bank accounts in one place. See total cash position at a glance.
Clear Audit Trail
Every match and adjustment documented. Finalize periods with confidence.
Cash Position Dashboard
Real-time view of cash across all accounts. Know your reconciliation status instantly.
Built for Everyone
For Finance Staff
- Upload, match, review, done
- Focus on exceptions, not data entry
- Complete monthly close faster
For Accountants
- Trust that records balance
- Export for audits
- Complete documentation