Accounting & BookkeepingFinancial Management3MediumAccountant$ implied

Manual reconciliation in Excel at month-end is time-consuming and error-prone, even with ERP systems.

ERP systems do not fully automate reconciliation, leaving users to manually match transactions, clean data, and handle mismatched references in spreadsheets.

42
0
Opp. Score
42
Severity
3Medium
Willingness to Pay
implied
Added
Apr 29, 2026

Workarounds Described

  • matching transactions between exports manually in Excel
  • cleaning up messy data before reporting in Excel

Implied Software Gaps

  • Software that automatically matches transactions across different exports
  • Software that cleans and standardizes messy data before reporting
App Concept

Reconciler Pro

Reconciler Pro automates month-end reconciliation by intelligently matching transactions across exports, flagging discrepancies, and cleaning data. It integrates with popular ERPs and accounting software to reduce manual spreadsheet work.

Key Features
  • Auto-match transactions by multiple criteria (amount, date, reference)
  • Flag missing or mismatched references
  • Clean and standardize messy data formats
  • Generate reconciliation reports with audit trail
Target Users: Accountants and finance teams in mid-size companies using ERP systems but relying on Excel for month-end reconciliation
Revenue Model: $39/mo per user SaaS subscription, with enterprise tier at $199/mo for up to 10 users

Existing Solutions Mentioned

ExcelERP systems
Part of App Idea
MatchGuard Pro

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