Case Study

Case Studies

Life Insurance Company

Automating Different Reconciliation Process at Leading Life Insurance Company

Life Insurance Company has multiple accounts and multiple products across 85 processes. Compiling and computing over 200 data files for Banks and Vendor

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Non Banking Financial Company

Automating Bank Reconciliation at Non-Banking Financial Company (NBFC)

The NBFC has 16 process and 53 files for Bank Reconciliation through channels viz payment gateways, wallets, net banking, UPI, kiosks, ATMs, bank cheques, credit cards

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Logistics Company

Automating Bank and Wallet Reconciliation at Leading Logistics Company

The logistics company provides courier delivery services and performs reconciliation for different processes like Cash on Delivery (COD), Collection & Wallet, etc.

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The Tool can be used wherever lookup, calculation and reconciliation of records requires automation