Close should not be a scramble to hunt down missing transactions, explain variances, and build last‑minute spreadsheets.

End Close connects to your payment processors, banks, and internal systems and reconciles continuously. Deterministic matching rules handle the majority of volume so your team can trust the numbers before month‑end.

When something doesn’t match, End Close creates an exception with the full context: source events, supporting evidence, and an audit trail of every action taken.

Ops gets an inbox to triage and collaborate. Engineering gets a clean API and webhooks to integrate with your ledger, ERP, and downstream workflows.

Over time, the system learns from how exceptions get resolved and suggests improvements - so match rates go up and manual work goes down.

The result: faster closes, fewer surprises, and reconciliation you can rely on.

Automate at scale

End Close connects to your data sources and reconciles continuously-so you're not scrambling to match transactions at close.

Our next-gen matching engine reconciles hundreds of thousands of transactions per day.

When all of the following match
amountequalstransaction.amountAND
codeequalstransaction.vendor_codeAND
datedate within range of
2 days

Flexible rule builder

An intuitive UI to design rules around your data. Test changes against historical transactions to confirm match quality improves.

AI Suggestion

It looks like you always have to manually categorize invoices with transactions. Why not add a new rule combining the matching attributes.

Amount
Date
Invoice Number

Continuous improvement

AI learns from historical exceptions and suggests rule updates to increase match rates over time.

Handle exceptions with ease

When your team needs to step in, our exceptions inbox makes it easy to assign tasks, add comments, and resolve investigations.

app screen

AI Investigations

Our agents analyze exceptions like a human would and prepare a suggested resolution for your team to review.

Manual Reconciliation

Your team still has full control over the system and can make any manual adjustments needed.

Built for engineering and product teams

Continuous reconciliation powers many core features in modern fintechs and products processing payments.

End Close plugs into your stack with a clean API and real-time webhooks - so reconciliation becomes reliable infrastructure, not a fire-drill at close.

Read the docs

Spend time building your product

In-house reconciliation only grows in scope-requirements, edge cases, and backfills pile up over time.

Unlock product experiences

Use webhooks to trigger downstream workflows - like releasing funds once a payout clears.

Everything you need out of the box

End Close manages reconciliation end-to-end to unburden your ops team and keep engineering from building (and maintaining) systems in-house.

Audit trail and accountability

Every action taken by your team and AI is auditable and reversible.

Works with your tools

Export your data, or have End Close automatically update your sources of truth with direct integrations to your ERP and accounting stack.

Compliance reporting

Export audit ready financial reports for regulators or partners

Fingerprint scanner

Role-based access control

Fine-grained permissions control what users can see and do.

Bank-grade security and availability

Data encryption at rest, regulatory compliance, high availability, and backups.

Track exceptions. Automate resolutions.

See how End Close helps your team close faster with fewer exceptions.

Book a demo