reconciliation Platform

reconciliation Platform

Always Accurate

Explainable

Audit-Ready

Always Accurate
Explainable
Audit-Ready

Always Accurate.
Explainable.
Audit-Ready.

Automated reconciliations across Vendor, Customer, Tax, Bank and Payroll

Built for Finance Leaders to ensure audit-ready precision

Automated reconciliations across Vendor, Customer, Tax, Bank and Payroll

Built for Finance Leaders to ensure audit-ready precision

Where Reconciliation Breaks Down

Where Reconciliation Breaks Down

One Platform | Multiple Reconciliations

One Platform Multiple Reconciliations

Kadac unifies every reconciliation workflow into a single source of truth.

Vendor/Customer Recon

Align ERP purchase ledgers with vendor/customer statements and bank data automatically

Regulatory & Financial Recon

Automated reconciliation of source data used for IRDAI and IIB reporting with financial systems across claims and policy data

Bank Recon

Reconcile multiple bank formats (SBI, HDFC, ICICI) with ERP ledgers using AI

Payroll & Statutory

Match salary payouts and PF/ESI/TDS payments against challans and debits

Tax Recon

Match various tax values recorded in your ERP system align with the data reported on government portals (e.g., GST, TDS, VAT portals)

Transform Reconciliation into a Strategic Advantage

Transform Reconciliation into a Strategic Advantage

Evolve from reactive month‑end drills with continuous, automated reconciliation—compounding efficiency, speed, and accuracy with each close.
Evolve from reactive month‑end drills with continuous, automated reconciliation—compounding efficiency, speed, and accuracy with each close.

90%

Reduction in Manual Effort

Eliminate spreadsheet-driven matching. AI handles the volume; your team handles the exceptions.

4x

Faster Month-End Close

Compress close from 10 business days to 3. Continuous reconciliation means less backlog at month-end.

100%

Audit-Ready Data

Full traceability from source transaction to reconciled entry. No more last-minute documentation scrambles.

ROI

Outsize Returns

Leverage existing ERP and bank systems. Positive ROI within the first quarter at mid-market pricing.

90%

Reduction in Manual Effort

Eliminate spreadsheet-driven matching. AI handles the volume; your team handles the exceptions.

4x

Faster Month-End Close

Compress close from 10 business days to 3. Continuous reconciliation means less backlog at month-end.

100%

Audit-Ready Data

Full traceability from source transaction to reconciled entry. No more last-minute documentation scrambles.

ROI

Outsize Returns

Leverage existing ERP and bank systems. Positive ROI within the first quarter at mid-market pricing.

90%

Reduction in Manual Effort

Eliminate spreadsheet-driven matching. AI handles the volume; your team handles the exceptions.

4x

Faster Month-End Close

Compress close from 10 business days to 3. Continuous reconciliation means less backlog at month-end.

100%

Audit-Ready Data

Full traceability from source transaction to reconciled entry. No more last-minute documentation scrambles.

ROI

Outsize Returns

Leverage existing ERP and bank systems. Positive ROI within the first quarter at mid-market pricing.

Built for Complex Enterprises

Built for Complex Enterprises

Transform reconciliation from a painful bottleneck into your Finance Team's competitive advantage
Transform reconciliation from a painful bottleneck into your Finance Team's competitive advantage

Multiple ERPs

SAP, Oracle, Tally, and custom ERP formats — all processed through a single normalization layer.

Private Equity

Portfolio-wide reconciliation visibility across diverse holdings, geographies, and currency bases.

New Acquisitions

Rapidly onboard newly acquired entities with legacy systems, inconsistent formats, and data gaps.

Subsidiaries

Consistent standards and visibility enforced across all entities, locations, and legal structures.

Ready to Eliminate Reconciliation Chaos?