Problems
What will AGI do for Transaction Reconciliation?
Finance teams at high-volume businesses, particularly marketplaces and usage-based software companies, spend days each month manually matching cash deposits to internal ledger events. Transaction reconciliation breaks when payment gateways batch settlements, deduct rolling fees, or process refunds out of order. A single payout often represents thousands of distinct customer actions, leaving controllers to reverse-engineer the math in massive spreadsheets just to close the books.