Cloud financial reconciliation

Mutabiq
for finance teams

Organize reconciliations, settlements, and exception review in a clear, secure workflow for your team.

Role-based access
Action audit trail
CSV and Excel import
Capabilities

Everything for dependable reconciliation

Practical tools for reconciliation, review, and settlement.

Smart matching

Exact and approximate rules you can review.

Structured upload

CSV and Excel imports validated before processing.

Counterparty portals

Dedicated spaces for suppliers, customers, and banks.

Actionable reports

Excel and PDF reports that support decisions.

Visible processing

Clear progress for files and reconciliation work.

Control and security

Permissions and an audit trail for meaningful actions.

Reviewable workflow

A clear path from upload to decision and export.

Multi-company

Clear data isolation and work context.

How it works

Start with clear steps

A direct journey from account to result.

1

Create your account

Complete company details and permissions.

2

Upload statements

Add your organized files and counterparty files.

3

Review results

Understand matches, exceptions, and reports.

Ready to begin?

Give your team one workspace for reconciliation and settlement.