Solutions

Reconciliation & Bank Matching

Because every receipt flows through Wateer, reconciliation becomes an automatic by-product — not a month-end task. Your transactions, receipts, and bank movements in one matched record.

Automatic bank matching

Every receipt issued through Wateer is matched automatically against its corresponding bank movement — no spreadsheets, no month-end scramble.

Accurate daily reports

A reconciliation report ready every morning: what matched, and what needs your eyes — instead of discovering gaps weeks later.

Always audit-ready

A complete trail linking receipt to transaction to bank movement, archived under regulatory controls and available for any review.

How it works

  1. 1

    Receipts flow from your POS

    Wateer is connected to your point of sale, so every transaction arrives with its full details the moment it happens.

  2. 2

    Matching runs automatically

    Transactions and receipts are compared against bank movements and matched with zero manual work.

  3. 3

    Your report is ready daily

    An accurate daily reconciliation, clear exceptions when they exist, and an archive that is audit-ready at all times.

Ready to make reconciliation automatic?

Book a Demo
Reconciliation & Bank Matching — Wateer