FinMatch

Hackathon · Finance reconciliation

FinMatchMatch books to bank statements in minutes.

Upload CSVs, run reconciliation jobs, review matches, and generate an AI summary — built for teams who close the books under pressure.

Recon console

Q2 bank ↔ ledger

Live

Matched

842

+12.4%

Unmatched

37

Needs review

Jobs

6

2 running

Recent matches

Today
  • Stripe payout$12,480Matched
  • Payroll batch$48,200Matched
  • Vendor ACH$1,950Review

Why reconciliation still hurts

Closing the books shouldn’t mean hunting mismatches across five tabs at 11pm.

01

Spreadsheets don’t scale

VLOOKUP and color-coding break the moment amounts, dates, or fees don’t line up perfectly.

02

Exceptions hide in noise

Unmatched payouts, fees, and duplicates get buried until month-end becomes a scramble.

03

No shared picture

Finance, ops, and founders argue from different exports instead of one reconciliation view.

How it works

Three steps from messy ledgers to a clear reconciliation picture.

Upload ledgers

Drop bank and book CSVs into a reconciliation job.

Auto-match

FinMatch pairs transactions and flags what still needs review.

AI summary

Get a clear readout of matches, gaps, and next actions.

What’s in the workspace

The same flows you’ll use in the dashboard — jobs, uploads, matches, and summaries.

Recon jobs

Create a job per period or account, track pending vs completed, and keep work scoped.

CSV uploads

Bring bank and book files into the same workspace with clear source types.

Match review

Browse matched and unmatched lines so humans only touch what the engine can’t settle.

AI summary

Generate a short narrative of status, gaps, and suggested follow-ups for demos or handoff.

Ready to match a period?

Create an account, upload a sample bank and ledger CSV, and run your first reconciliation job in a few minutes.