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.
Every receipt issued through Wateer is matched automatically against its corresponding bank movement — no spreadsheets, no month-end scramble.
A reconciliation report ready every morning: what matched, and what needs your eyes — instead of discovering gaps weeks later.
A complete trail linking receipt to transaction to bank movement, archived under regulatory controls and available for any review.
Wateer is connected to your point of sale, so every transaction arrives with its full details the moment it happens.
Transactions and receipts are compared against bank movements and matched with zero manual work.
An accurate daily reconciliation, clear exceptions when they exist, and an archive that is audit-ready at all times.