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AI Agent

Reconciliation Agent

Automatically matches bank transactions with invoices, bills, and journal entries. Learns your accounting patterns over time to increase matching accuracy with every reconciliation cycle.

What it does autonomously

  • Matches bank transactions with invoices and bills automatically
  • Suggests journal entries for unmatched transactions
  • Detects duplicate payments and flags discrepancies
  • Learns your categorization patterns for recurring expenses
  • Alerts you to unusual transactions or anomalies
  • Generates reconciliation reports for audit readiness

The AI Advantage

See how AI transforms your daily workflows

Without AI

  • Hours spent manually matching bank statements line by line
  • End-of-month reconciliation taking 3-5 business days
  • Duplicate payments slipping through undetected
  • Manual data entry errors compounding over time
  • Late financial reports due to reconciliation bottlenecks

With Yukti AI

  • AI automatically matches routine transactions to bank statement lines
  • Daily reconciliation completed in minutes, not days
  • Duplicate payment detection before money leaves the account
  • Automated journal entries with learned categorization
  • Real-time financial reports available on demand
Saves You

See What This Could Save Your Team

You could save ~50.0 hours/month

Wakefield Research/Billtrust 2025 (commissioned survey of 500 finance decision-makers): 75% of companies using AI in accounts receivable reported DSO reductions of 6+ days; Hackett Group reports an 8.4-day average reduction. Base case modeled at 10 days.Source ↗

Estimated total: ~97.9 hours/month, ~$3,260/month

Based on the default figures shown above. Adjust any input to see your own estimate.

Complete Accounting Suite

Everything you need to manage your finances in one place

Double-Entry Accounting

Full-featured accounting system with automatic journal entries and real-time balance updates.

Multi-Currency

Handle transactions in multiple currencies with automatic exchange rate updates.

Bank Reconciliation

AI-powered bank reconciliation that automatically matches transactions and suggests entries.

Invoicing

Create professional invoices, track payments, and automate payment reminders.

Expense Management

Track expenses, manage vendor bills, and automate approval workflows.

Financial Reports

Generate P&L, balance sheets, cash flow statements, and custom reports in real-time.

Tax Management

Automated tax calculations, GST/VAT compliance, and tax reporting.

Audit Trail

Complete audit trail with user tracking and document versioning for compliance.

Asset Management

Track fixed assets, calculate depreciation, and manage asset lifecycle.

AI-Powered Accounting

Let AI handle the tedious work while you focus on strategic decisions

Smart Reconciliation

Our AI automatically matches bank transactions with invoices and bills, suggesting the correct journal entries. What used to take hours now takes minutes.

  • Automatically matches routine transactions to bank statement lines
  • Learn from your patterns
  • Staff review exceptions instead of every line item

Predictive Analytics

Get insights into your financial future with AI-powered forecasting and anomaly detection that alerts you to unusual patterns.

  • Cash flow forecasting
  • Anomaly detection
  • Trend analysis

Native Integrations

Connect with your bank, payment gateways, and other business tools

Bank Sync

Payment Gateways

E-commerce

Payroll

Inventory

CRM

Tax Software

Spreadsheets

Dig Deeper Into Accounting

Twelve accounting capabilities, each covered in detail with how Yukti handles it and where the AI agent helps

General Ledger & Chart of Accounts

Double-entry ledger with analytic tagging by department, project, and cost center.

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Accounts Payable Automation

Vendor bills get read, three-way matched to purchase orders, and queued for payment.

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Accounts Receivable & Collections

Open invoices age automatically, with follow-up sequences that escalate before they go cold.

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Bank Reconciliation Software: Rules-Based Matching

Reusable matching rules reconcile statement lines, so staff review exceptions instead of every entry.

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Multi-Currency Accounting

Post, revalue, and report across currencies with automatic exchange-rate conversion at period close.

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Fixed Assets & Depreciation

Assets get capitalized, depreciated on schedule, and disposed of with the correct accounting.

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Budgeting & Cost Center Management

Budget tracks against actuals as transactions post, not after the period already closed.

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Financial Reporting & Statements

P&L, balance sheet, and cash flow update live, with drill-down to the source entry.

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GST E-Invoicing Software | IRN & GSTR Compliance

GST rates, HSN/SAC codes, and e-invoice generation run inside the same ledger as your books.

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Multi-Company Consolidation

Consolidate legal entities on one ledger, with intercompany transactions tagged for elimination at entry.

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VAT & Sales Tax Management

The correct VAT or sales tax rate applies automatically by product, customer, and jurisdiction.

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Audit Trail & Financial Controls

Every change is logged by user and timestamp, and closed periods lock against edits.

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Ready to Simplify Your Accounting?

Start using Yukti to simplify your accounting workflows