Reconciliation automated end to end
Stop chasing exceptions. Get numbers you trust, an audit trail that's always ready, and data you can build on.

From origination to closed books


“As our payment volume grew, reconciling large batched payments against individual transactions became a real manual lift for our finance teams, and our customers. We partnered with End Close to automate those workflows instead of building them in-house, eliminating the reconciliation burden from our finance team and delivering a positive outcome for our customers.”
Everything you need out of the box
Live balances per account, not a snapshot from the last time someone ran a report
Track every dollar through your systems from origination to settlement, so you have total confidence that money moves as expected
Managed pipelines make it easy to connect your data whether it lives internally or in any other system
Compare us to building in-house or buying a legacy vendor
Purpose-built for modern money movement with support for one-to-many matches, fees, reversals, and full transaction lifecycles.
Batch payouts, weekend lookbacks, and returns, get discovered after the fact with costly consequences.
Designed around monthly, balance level reconciliation. Bare bones matching engine that is no better than spreadsheet macros.
Agents use historical matches to improve automation rates over time.
Engineers own matching logic and are always on the hook for updates.
Building rules and ongoing configuration often requires third-party consultants.
We own the pipe to reliably ingest from SFTP bank feeds, PDF processor reports, warehouse exports and via API.
Requires an engineering team to build and maintain pipelines before you reconcile a single transaction.
Customers routinely build entire internal pipeline teams whose only job is feeding the tool.
Case based inbox means the whole process can be managed in the product.
That headcount then needs to grow as your volumes scale.
Does nothing for resolution. You're left chasing a list through spreadsheets and email.
White-glove support included.
Recon loses the roadmap fight to customer-facing work every time.
Multi-month implementations, often requiring third-party consultants and pro-serve implementation costs.
Built by the team that reconciled a trillion dollars a year at Modern Treasury.
Volume increases mean you quickly outgrow V1 of automation. An unscalable system blocks new product and market launches.
Customers end up filtering data out of the tool just to control costs.
Live health view of every account, and monitors for alerts on unexpected behaviors.
Finance relies on engineering and data teams to build new reports and internal tooling.
Daily file drops at best. Breaks surface weeks later, when it's too late to act.
Trust your numbers. Stop chasing them.
See how End Close helps your team close faster with fewer exceptions.
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