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Automate
bank account reconciliation

Ensure accuracy across all statements and bank accounts. Less errors. Lower costs. Less stress.

... when you automate  bank account reconciliation with Ledge.

Bank reconciliation involves matching your financial records with bank statements to ensure accuracy.

Our bank reconciliation software automates this process, aligning transactions from your bank accounts, checking accounts, and bank statements.

It identifies discrepancies in real-time, reduces manual efforts, and ensures accurate financial records.

This allows you to efficiently manage bank transactions, monitor account balances, and resolve issues quickly, providing you with a clear and accurate view of your financial standing.

All the power of custom bank account reconciliation solution.
None of the heavy lifting.

Automate bank reconciliation with no R&D or IT help required

Full stack integration

Click & connect to 12,000+ banks, credit unions, online banks, accounting software providers, and other systems.

Set up in hours

Quickly connect to your banks, no massive projects, and no engineering required.

Complete visibility

Track every step in your bank statement reconciliation process, no matter how complex or high-volume.

Reduce errors

Improve accuracy and reduce risk of human error with automated bank account reconciliation.

Always audit ready

Be fully audit ready with the ability to trace every single transaction or invoice within your bank reconciliation process

Close faster

Automate manual bank reconciliation processes and move to real-time reconciliation so your books are always closed.

With Ledge, we can scale reconciliation without scaling headcount.
We were able to go live quickly without R&D or costly implementers & saw very fast time to value.”

Benny Vazana, Senior Vice President of Finance
Papaya Global

Eliminate statement
reconciliation headaches

You bring your data sources, Ledge’s powerful bank account Reconciliation Engine handles the rest. No R&D or IT required.

Bank account reconciliation

Continuous, real-time, transaction matching

  • Full matching: One-to-one, one-to-many, many-to-one, and many-to-many transaction matching for high volume, complex  bank reconciliation workflows.
  • Full stack: Match all transactions across your infrastructure as it happens, including pay-ins and payouts, AP & AR, and more.
  • Every transaction: Instantly match settled payments in the bank to the corresponding bank statement, including partial payments, refunds, chargebacks, payment failures, & payments that cover multiple invoices.
100% transparency

Trace every transaction through its lifecycle

  • Identify discrepancies quickly: Track any bank transaction across all your data sources over time through our easy-to-use interface
  • See how cash flows: Get a holistic view of how different transactions & bank statements are interconnected.
  • Full audit trail: Ledge’s immutable log of the entire transaction journey ensures every transaction is traceable.
Account for everything

Transaction matching right down to the line item

  • Granular breakdowns: Break down incoming payments and see which bank transactions they relate to, including batch payments and multiple invoices.
  • Capture every detail: Account for and reconcile fees, taxes, discounts, disputes, chargebacks, refunds, and other balance sheet items.
  • Transaction-level drill down: Quickly spot discrepancies, understand how bank transactions connect, and resolve discrepancies.
End-to-end reconciliation

Close the loop with ERP integration

  • Real-time updates: Post reconciled bank data & journal entries back to your ERP.
  • Fully configurable: Full flexibility in how you close invoices, apply journal entires to the GL, and otherwise sync data.
  • Keep complete records: Account for the entire payment in your ERP, including fees and multiple line items on invoices.

Enhance visibility

See your actuals, including cash position and at-risk transactions, in a real-time dashboard.

Boost efficiency

Automate reconciliation & allocate resources to higher-value tasks.

Improve collections

Lower DSO, improve collections, and resolve disputes faster with fully integrated, real-time data.

Delight customers

Answer payment queries instantly and ensure you’re reflecting payment status accurately.

Reconcile everything.

Every detail of every transaction, captured and accounted for:

Fees
Taxes
Refunds
Timing
Multiple currencies
Chargebacks
Points & Rewards
Discounts
Take rates
Commissions

Integrate everywhere.

12,000+ integrations and counting:

PSPs
Banks
Databases
Invoicing
CSVs
ERPs

Handle anything.

Built to handle the most complex scenarios:

PSPs
Single payment for multiple invoices
Multiple payment forms
On a single transaction
Bulk invoices
Invoices with multiple line items
Name mismatches
Between bank & invoice

Audit-ready data, always.

Ledge makes audits a breeze

Continuous audit preparation

Every transaction is fully documented, retained, & stored with our Immutable Data Audit Trail.

Ensure SOX compliance

Replace manual processes with robust application controls to ensure regulatory compliance.

Stress-free sampling

No need to painstakingly piece together transaction journeys for audit samples; it’s all done for you.

100% transparency

Ledge gives you audit trails for data from reports to source, all wrapped up in our friendly UI.

Automate bank transactions reconciliation at scale with total confidence

We’re here to help get you started as fast as possible. Zero R&D or IT help required.

Ledge

We're on a mission to automate and simplify finance operations for teams working at scale.

New York

325 Hudson St, 4th Floor, New York, United States 10013

Tel Aviv

Leonardo da Vinci St 14 Alef,
Floor 3
Tel Aviv, Israel
6473118