Reconciliation Managed Service
Passionate – Dedicated – Professional
Free your team from manual reconciliations and let Genix handle the complexity.
We reconcile transactions across banks, gateways, ERPs, and internal systems.
Bank & Gateway Recon
Match settlements, refunds, and payouts across systems.
ERP & GL Alignment
Reconcile transactions with accounting records and ledgers.
Exception Management
Identify, tag, and prioritize mismatches with resolution support.
Flexible Cadence
Daily, weekly, or monthly reconciliations as per your cycle.
Compliance Reporting
Dual-review outputs with audit trails and traceable changes.
Precision – Integrity – Excellence
The steps we follow to ensure clean books
Connect & Ingest
We fetch data from all relevant systems and prepare it for reconciliation.
Match & Detect
Our AI engine matches entries and flags exceptions for review.
Report & Deliver
You receive audit-ready reports, exception summaries, and actionable insights.






