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 ProWant to go deeper?
Sign up to save ideas, run AI analysis, and track opportunities in your personal workspace. Founding members get full access.
Join BetaSolutions (0)
Discussion (0)
No comments yet