Accounting & BookkeepingAccount Reconciliation / Discrepancy Resolution4HighAccountant$ implied
Accountant needs to reconcile two files of 5000 transactions that don't match exactly due to splits, date variations, description differences, duplicates, and missing entries.
Existing reconciliation tools may require exact matches or significant setup, and manual spreadsheet comparison is time-consuming and error-prone with complex differences.
0
Severity
4High
Willingness to Pay
implied
Added
Sep 7, 2026
Workarounds Described
- Manual comparison of rows in spreadsheet
Implied Software Gaps
- Automated transaction matching tool with fuzzy logic and split handling
App Concept
ReconMatch Pro
ReconMatch Pro automates transaction reconciliation using fuzzy matching on amounts, dates, and descriptions, and intelligently handles split transactions, duplicates, and missing entries. It saves hours of manual work and ensures accuracy.
Key Features
- Fuzzy matching algorithm for descriptions and dates
- Automatic detection and handling of split transactions
- Duplicate identification and elimination
- Exception report highlighting missing or unmatched transactions
Target Users: Accountants, bookkeepers, and finance professionals in small to mid-sized firms who regularly reconcile bank statements, invoices, or intercompany accounts.
Revenue Model: $49/mo per user SaaS subscription
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