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RECONCILE EVERYTHING.
AUTOMATICALLY.

The MiWa Reconciliation Agent continuously matches and validates transactions across systems.
Finance teams get clarity, control and accuracy without any manual work.

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BiCXO Overview

Built for Real Finance Reconciliation

The agent mirrors how finance professionals actually reconcile data. It follows the same logic accountants use in spreadsheets and financial workflows.

Every reconciliation remains transparent, traceable and audit ready.

The system automatically:

  • Matches transactions based on amount, date and references.
  • Performs lookup comparisons across datasets similar to VLOOKUP and HLOOKUP.
  • Uses fuzzy search to identify similar transactions even when data is inconsistent.
  • Detects mismatches, duplicates and missing entries.
  • Routes exceptions through review and approval workflows.

Advanced Matching Engine

Financial reconciliation often requires comparing multiple datasets and validating transactions across systems. The MiWa Reconciliation Agent supports multiple reconciliation methodologies used across finance operations.

2-Way Matching

Compares two records such as bank transactions and ERP entries or purchase orders and invoices.

3-Way Matching

Validates procurement transactions by comparing purchase orders, goods receipt notes (GRN) and vendor invoices.

4-Way Matching

Adds an additional validation layer such as quality or delivery confirmation to ensure complete transaction verification.

GRN-Based Matching

Reconcile GRN with procurement and ERP records to verify goods received against vendor invoices.

Reconciliation Across the Financial Ecosystem

The MiWa Reconciliation Agent supports reconciliation across multiple financial processes and data sources.

  • Bank Reconciliation
  • Cash Reconciliation
  • Accounts Receivable
  • Accounts Payable
  • Vendor Reconciliation
  • Customer Reconciliation
  • General Ledger
  • Inventory Reconciliation
  • Payroll Reconciliation
  • GST Reconciliation
  • TDS Reconciliation
  • Form 26AS Reconciliation
  • Tax Liability & Deferred Tax
  • Fixed Asset & Depreciation
  • Intercompany Reconciliation
  • Cash Equivalents & Investments

This allows organisations to reconcile transactions across different systems and transactions like banks, ERP systems, tax infos, procurement systems and operational platforms with a workflow that mimics Humans.

Business Impact

Organisations using the MiWa Reconciliation Agent transform reconciliation from a manual activity into a continuous automated process.

60–80%

Faster Financial Close

Automated matching and exception detection dramatically reduce reconciliation cycles during month-end and audit periods.

70–90%

Reduction in Manual Work

Finance teams eliminate spreadsheet comparisons and repetitive transaction matching across multiple datasets.

Up to 85%

Improvement in Accuracy

Intelligent matching logic reduces errors, duplicate entries and mismatched transactions.

40–60%

Faster Audit Preparation

Every reconciliation includes a complete audit trail, improving compliance and financial transparency.

3–5×

Better Transaction Visibility

Continuous reconciliation provides real-time insight into unmatched transactions and discrepancies.

30–50%

Reduction in Payment Errors

Multi-layer validation such as 2-way, 3-way and N-way matching strengthens financial controls before payments or postings are finalized.

MiWa Reconciliation Agent

Reconciliation that works exactly like your finance team only faster, smarter and continuous.

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Common Integration

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