- Your team wastes hours manually comparing transactions, searching for matches between bank statements and the system.
- Reconciliation is stalled because minor disagreements go unnoticed and require lengthy analysis.
- Discrepancies in values, dates, and descriptions lead to rework and increase the risk of errors.
- While the team is stuck in repetitive conferences, more strategic tasks are piling up.
- Some releases just don't click, and figuring out why is too time-consuming.
- I feel my team could be much more productive if reconciliation happened automatically.