For engineering teams

Integrate reconciliation into your stack

You're building a fintech platform, a fund admin system, or an internal ops tool. You need reconciliation as a capability — not as a separate product your team has to learn. We give you APIs, webhooks, and structured output.

How we work

Built for developers

We handle the reconciliation logic — matching, investigation, resolution. You handle the integration — triggering runs, consuming results, routing exceptions.

Webhook-driven architecture

We push reconciliation results to your systems via webhooks. You define the endpoint, the payload schema, and the retry policy. No polling, no batch files, no FTP.

Structured JSON output

Every reconciliation result is a typed JSON payload — matched items, exceptions, proposed resolutions, and reasoning traces. Parse it, store it, route it — your code, your rules.

API-first integration

Trigger reconciliation runs, query status, retrieve results, and manage configuration via REST API. Everything the UI does, the API does. Build your own workflows on top.

OAuth 2.0 and mTLS

API access secured with OAuth 2.0 client credentials. Webhook delivery verified with HMAC signatures. mTLS available for environments that require it.

Event-driven triggers

Reconciliation runs triggered by your events — ERP batch complete, bank file received, period close initiated. Integrate with your existing orchestration (Airflow, Prefect, Step Functions).

Multi-tenant isolation

If you're building a platform that serves multiple clients, each client's reconciliation is isolated — separate configuration, separate data, separate audit trails. One integration, many tenants.

Who integrates with us

Fund administration platforms that need to reconcile positions, cash, and transactions across custodians for hundreds of funds — and surface results in their own UI.

Fintech companies building payment reconciliation, lending reconciliation, or treasury management — who need reconciliation as a backend capability, not a standalone product.

Internal ops teams at financial institutions who want to embed reconciliation into their existing orchestration (Airflow, Temporal, Step Functions) and route results into their internal ticketing and approval systems.

Add reconciliation to your product

Tell us what you're building, what data you reconcile, and how you want to consume results. We'll scope the integration and share API documentation.