Smart Automated Reconciliation for Digital Transactions
EasyRecon simplifies and automates reconciliation across ATM, POS, UPI, IMPS, and other digital channels—ensuring accuracy, reducing risk, and eliminating manual effort through a unified, intelligent platform

Banks deal with multiple systems and transaction sources, making reconciliation complex, time-consuming, and error-prone.
The Problem with Manual Reconciliation

Multiple Data
Sources
CBS, ATM networks, EFT switch, and payment systems operate independently.

Manual Processing
Delays
Uploading and reconciling files manually slows operations.

High Operational
Risk
Errors in reconciliation impact financial accuracy.

Limited
Visibility
Lack of centralized dashboards makes tracking difficult.
EasyRecon transforms reconciliation into a streamlined, automated, and reliable process.
Accuracy. Efficiency. Control.

Reduced Manual Effort
Automation eliminates repetitive tasks.

Higher Accuracy
Minimize reconciliation errors across systems.

Lower Operational Risk
Reduce financial discrepancies and fraud risks.

Improved Visibility
Real-time dashboards for better decision-making.

Scalable Processing
Handle increasing transaction volumes effortlessly.
EasyRecon connects all transaction sources into a single platform, enabling seamless and automated reconciliation.
One Platform. Complete Reconciliation.

Unified Dashboard
View transaction data across CBS, EFT Switch, ATM, and payment systems in one place.

Cross-Channel Reconciliation
Handle ATM, POS, ECOM, UPI, IMPS, and other digital transactions.

Real-Time Monitoring
Track transaction counts, values, and statuses instantly.

Accuracy at Scale
Ensure precise reconciliation across high-volume data.
Flexible configuration tools allow banks to manage rules, users, and system behavior efficiently.
Complete Control Over Reconciliation

User Roles &
Access
Define permissions for different users.

System
Parameters
Customize reconciliation rules and workflows.

Account
Mapping
Manage GL accounts, GST, and settlement mappings.

Terminal & Balance
Management
Maintain terminal masters and opening balance corrections.

User Roles &
Access
Define permissions for different users.

System
Parameters
Customize reconciliation rules and workflows.

Account
Mapping
Manage GL accounts, GST, and settlement mappings.

Terminal & Balance
Management
Maintain terminal masters and opening balance corrections.
Advanced processing capabilities eliminate manual work and enable faster reconciliation cycles.
Automation That Understands Your Data
Bulk File
Import
Upload entire folders instead of individual files.
Auto File
Detection
Automatically categorize and process different file types.
Backdated
Reconciliation
Run reconciliation for past data whenever required.
Graphical
Insights
Visual dashboards provide clear reconciliation insights.
Comprehensive reports enable tracking, auditing, and managing reconciliation with precision.
Deep Insights for Better Financial Control

Reconciliation
Reports
Detailed reports for ATM, POS, UPI, and digital transactions.

Timeout
Transaction
Identify pending transactions and update statuses.

Adjustment
Reports
Manage CBS adjustments and generate submission files.

Downloadable
Reports
Export data for audits and regulatory submission

Reconciliation
Reports
Detailed reports for ATM, POS, UPI, and digital transactions.

Timeout
Transaction
Identify pending transactions and update statuses.

Adjustment
Reports
Manage CBS adjustments and generate submission files.

Downloadable
Reports
Export data for audits and regulatory submission
Automate, simplify, and scale your reconciliation workflows with EasyRecon.
Take Control of Your Reconciliation Process
See It in Action
Experience the platform firsthand — book a live demo tailored to your needs.
Book a demo