Home / Directory / Financial Close and Reconciliation

Directory · Category

Financial Close and Reconciliation software 50

Financial close software automates account reconciliation, journal entry, task management, flux analysis and consolidation. Reconciliation tools sit alongside it, handling high-volume transaction matching for payments, banking and card programmes. Treasury platforms overlap where cash positioning feeds the close.

What is month-end close? →

Featured in Financial Close and Reconciliation10 featured spots per category
9open
Reserve a spot
50 in Financial Close and Reconciliation · featured first, then A to Z
List your software →
Leapfin
Revenue data platform automating revenue recognition and subledger accounting from transaction-level data across billing and payment systems.
North Americaleapfin.com
→
Ledge
AI agents that run the close, preparing reconciliations, workpapers, flux analysis and journal entries across banks, payment processors and the ERP.
North Americaledge.co
→
LucaNet
Consolidation, planning and financial reporting software for mid-market groups, with prebuilt logic for statutory and management consolidation.
Europelucanet.com
→
Maxima
AI intelligence layer that sits on top of existing ERP systems to automate close activities without requiring a platform migration. Handles reconciliations, variance analysis, and close task orchestration.
North Americamaxima.ai
→
Netgain
Technical accounting automation for lease, loan and fixed asset accounting, built natively on NetSuite for controllers managing complex schedules.
North Americanetgain.tech
→
Nomentia
Cash management and treasury platform covering payments, bank connectivity, forecasting and in-house banking for European corporates.
Europenomentia.com
→
Nominal
AI-native accounting platform automating multi-entity consolidation, intercompany eliminations and close workflows on top of existing ERPs.
North Americanominal.so
→
Numeric
Automates the month-end close for in-house accounting teams. Covers task management, flux analysis, variance detection, and journal entry review. Integrates with major ERPs and generates audit-ready documentation.
North Americanumeric.io
→
OneStream
Corporate performance management platform unifying financial close, consolidation, account reconciliation and reporting on a single data model.
North Americaonestream.com
→
Ordway
Billing and revenue automation platform covering subscription management, invoicing, revenue recognition and reporting for recurring revenue businesses.
North Americaordwaylabs.com
→
Panax
AI cash management platform connecting bank accounts for real-time visibility, forecasting and anomaly detection across multi-entity groups.
Middle Eastpanax.io
→
ReconArt
Reconciliation and financial close software handling bank, credit card, intercompany and balance sheet matching at high transaction volume.
North Americareconart.com
→
RightRev
Revenue recognition software handling ASC 606 and IFRS 15 compliance for complex contracts, usage-based billing and multi-element arrangements.
North Americarightrev.com
→
Round Treasury
Treasury platform for startups and growth companies, managing cash across banks, optimising yield and forecasting runway.
United Kingdomroundtreasury.com
→
Serrala
Finance automation covering treasury, cash application and reconciliation alongside payables and receivables, with strength in SAP environments.
Europeserrala.com
→
SmartStream
Transaction lifecycle management software handling reconciliations, cash and liquidity control and fees management for banks and financial institutions.
United Kingdomsmartstream-stp.com
→
SolveXia
Finance process automation platform for reconciliations, reporting and data-heavy tasks, built for analysts rather than developers.
Asia Pacificsolvexia.com
→
Stacks AI
AI agents for the financial close, automating reconciliation, variance analysis and close task execution alongside existing accounting systems.
United Kingdomstacks.ai
→
Tabs
AI revenue automation extracting terms from signed contracts to drive billing, collections and ASC 606 revenue recognition without manual entry.
North Americatabs.com
→
TIS
Payment and liquidity management platform centralising outbound payments, bank connectivity and cash visibility across corporate entities.
Europetispayments.com
→
Translucent
Multi-entity accounting layer sitting on top of Xero, QuickBooks and Sage, delivering group consolidation, intercompany reconciliation and cash visibility.
United Kingdomtranslucent.io
→
Trintech
Record to report software automating reconciliations, close task management and compliance controls for mid-market and enterprise finance teams.
North Americatrintech.com
→
Trovata
Cash management platform aggregating bank data for real-time cash positioning, forecasting and reporting without treasury infrastructure.
North Americatrovata.io
→
Trullion
Automates lease accounting under ASC 842 and IFRS 16 alongside revenue recognition. Extracts data from contracts and generates journal entries with a full audit trail. Over 3000 clients.
North Americatrullion.com
→