Product
Every feature built for the close
Remitloom is purpose-built for finance teams who need reconciliation done right, documented, and ready for audit, every single month.
Auto-match rate
Average close time
Onboarding time
Match, flag, and close with confidence
The reconciliation engine runs nightly on every connected account. By morning, your team sees a fully categorized match report and a focused exception queue.
Nightly automated matching
Each night, Remitloom pulls transactions from all connected bank feeds and compares them against your chart of accounts. The AI matching engine handles description variations, split postings, and multi-day settlement delays.
Matched items are confirmed instantly. Exceptions are routed to the review queue with a probable cause tag and a suggested GL entry, so your controller starts the day with an action list, not a search mission.
- Handles timing differences across settlement windows
- Multi-currency normalization and exchange-rate capture
- Split-payment and batch-payout reconciliation
From exception queue to signed-off close package
Remitloom tracks close progress in real time and builds the audit-ready documentation package as you go.
Always know where your close stands
Live close dashboard
See account-by-account reconciliation status, open exception count, and estimated close date at a glance. Share a read-only dashboard link with your CFO or board so they stop asking for status updates by email.
- Real-time exception count and category breakdown
- Estimated close date projection based on current pace
- Shareable read-only view for CFO or board reporting
See Remitloom close your books this month
Start a 14-day free trial. Connect your bank feeds and accounting platform in 60 seconds.