Payment reconciliation
Reconcile payment, settlement or processor exports using Financial mode with explicit reference and other matching fields, amount, date and currency rules.
Reconciliation use cases
ReconLoom remains one horizontal reconciliation product. These use-case pages show how its existing Financial and Generic Record workflows apply to specific structured-data problems without claiming to replace the source systems themselves.
Reconcile payment, settlement or processor exports using Financial mode with explicit reference and other matching fields, amount, date and currency rules.
Compare bank and ledger exports while keeping tolerances, sign rules, conflicts and unmatched records visible.
Validate structured pre- and post-migration exports with typed record identity and comparison fields in Generic Record.
Compare structured inventory exports by SKU or another explicit key and review quantity, status or location differences.