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A Right Way to Manage Reconciliation

A reliable user-friendly web portal for efficient reconciliation. Simplify your workflows and gain valuable insights with our right solution.

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Smart N-Way Matching

Smart N-Way Matching

Ensure accurate reconciliation with advanced matching techniques, including exact, tolerance-based, and probability-driven methods.

Error? Consider It Handled!

Error? Consider It Handled!

Identifies discrepancies, flags errors, and provides quick resolution suggestions.

Automation That Works for You

Automation That Works for You

Reduces manual effort, minimizes mismatches, and ensures accurate financial records.

One Portal, Endless Possibilities

One Portal, Endless Possibilities

A web-based platform that allows super users to onboard entities, manage profiles, and upload data with ease.

Click, Match, Done!

Click, Match, Done!

Reconcile thousands of transactions across multiple sources in just few clicks.

Every Action, Tracked & Secured

Every Action, Tracked & Secured

Tracks every action, ensuring compliance and accountability.

Precision Meets Efficiency in Next-Level Reconciliation

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Multi-Format Support

Works with Excel, CSV, PDF, and more.

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Real-Time Insights

Receive immediate updates on the progress of reconciliation.

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Scalable & Secure

Manages large transaction volumes while ensuring the security of data.

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Customizable Matching Rules

Customize the process to suit your business needs.

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Error-Free Processing

Minimizes financial discrepancies and prevents revenue losses.

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AI-Powered Assistance

Leverage AI to automate matching, detect mistakes, and improve accuracy.

Payment Gateway Reconciliation

Payment Gateway Reconciliation

Touras Reconciliation matches payment gateway records with bank statements, chargebacks, and unaccounted transactions in real time.

Vendor Statement Matching

Vendor Statement Matching

Automates invoice-to-payment matching, flagging inconsistencies instantly and ensuring smooth vendor relationships with accurate financial records.

Bank Account Reconciliation

Bank Account Reconciliation

Uses N-way matching to align internal ledgers with bank statements, simplifying the management of deposits, withdrawals, and fees across multiple accounts.

Payout Verification

Payout Verification

Cross-checks payrolls, vendor payouts, and refunds against approved transactions, flagging discrepancies and ensuring financial disbursements.

Want to learn more about our services? Please fill out the contact form with your information, and we will reach out to you.

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  • Email: care@touras.co
  • Phone: 8657003652
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