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Cross-Sector / Enterprise FintechTreasury & Cash Managementbank-reconciliation

Trintech Cadency Reconciliation

Automated bank reconciliation solution for accurate and efficient financial close processes.

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Overview

Trintech Cadency Reconciliation is a software solution designed to automate and streamline the bank reconciliation process within the financial close cycle. It helps organizations reduce manual effort, improve accuracy, and enhance visibility into cash management activities.

The platform supports the matching of bank statements with internal records, exception management, and audit trails to ensure compliance and control. It integrates with various ERP and general ledger systems to facilitate seamless data flow and reconciliation.

Cadency Reconciliation is part of Trintech's broader financial close suite, aimed at improving operational efficiency and reducing risk in treasury and cash management functions.

Key Features

  • + Automated bank statement matching
  • + Exception management and resolution
  • + Audit trail and compliance reporting
  • + Integration with ERP and general ledger systems
  • + Real-time dashboard and analytics
  • + Multi-currency and multi-entity support
  • + Workflow automation for reconciliation tasks

Integrations

SAPOracleMicrosoft DynamicsNetSuiteWorkday
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