Automated Reconciliation
Faster, Smarter, and More Accurate Payment Reconciliation
Cherry automates payment reconciliation, matching transactions, identifying discrepancies, and keeping financial records accurate in real time.
Simplifies reconciliation
Saves time
Reduces errors
Cherry Connects Effortlessly to Any Accounting System
This ensures your financial data flows smoothly between systems – straightforward and hassle free.
Cherry Connects Effortlessly to Any Accounting System
Automated Transaction Matching
Automatically matches bank transactions with accounting records, removing the need for manual reconciliation.
Consolidated Transaction View
Displays all reconciliations in a single dashboard, preventing missing or duplicate records.
Discrepancy Detection & Resolution
Identifies unmatched transactions and provides resolution tools to correct errors.
Automatic Data Syncing
Pulls transaction data from accounting software and updates records instantly.
Real-Time Financial Updates
Reflects changes in the accounting system in real-time, up-to-date records.
Quick Setup Process
Step-by-step configuration with dedicated support for a smooth transition.
Enterprise-Grade Compatibility
Supports businesses with high transaction volumes, multiple locations, and complex financial structures.
Custom Approval Rules
Allows finance teams to configure approval workflows for secure transaction oversight.
Benefits of Automated Reconciliation
Automates Reconciliation Tasks
Reduces manual transaction matching and speeds up month-end close.
Improves Cash Flow Management
Provides a clear view of payments, pending transactions, and balances.
Eliminates Manual Data Entry Errors
Automates transaction processing, preventing human mistakes.
Identifies and Resolves Mismatches Instantly
Make better business decisions, maintain compliance, and get more control through access to real-time data.
Scaleable Growth of AP
Grow your business to any scale – Cherry’s automated reconciliation is built for high-volume transactions.
Eliminates Redundant Processes
Reduces time spent on repetitive corrections and manual adjustments.
Optimizes Financial Operations
Allocates finance team resources to higher-value tasks like forecasting and reporting.
Regulatory Compliance & Audit Readiness
Maintains compliance with financial regulations through automated tracking and logging.
Handles Large Transaction Volumes
Designed to support businesses processing thousands of transactions daily.
Optimize Your Reconciliation Process Now
Client Testimonials
— LTC Ally —
— Cedarbridge Financial Services —
— Curis Services —