Overview

Match and reconcile millions of transactions in minutes

High-volume reconciliations can be some of the most time-consuming and painful components of the period-end close process. BlackLine Transaction Matching streamlines and automates detail-heavy reconciliations, such as bank reconciliations, credit card matching, intercompany reconciliations, and invoice-to-PO matching—all in one centralised workspace.

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Benefits

Match Data Faster

Match Data Faster

BlackLine Transaction Matching reconciles millions of transactions in minutes. Match any type of data from multiple data sources and identify matched and unmatched transactions rapidly. Stop the insanity of ticking and tying spreadsheets manually and refocus your efforts on investigating discrepancies.

Manage Any Transaction Types

Manage Any Transaction Types

Manage any accounting transaction types including Bank to General Ledger, Bank to Credit Card, Bank to Accounts Receivable, Received-Not Invoiced to Received-Invoice Received, Third-Party Invoices to Internal Records, Intercompany Transactions, and Investment Transactions.

Identify Unmatched Transactions Rapidly

Identify Unmatched Transactions Rapidly

When unmatched transactions are found, accountants can quickly and easily create reconciling items as part of a reconciliation and include a direct link to incorrect transactions within a correcting journal entry. Quickly identifying unmatched transactions decreases manual work and improves the quality of reporting.

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Resources

Datasheet

Get all the info on BlackLine Transaction Matching
Download the Datasheet

Overview Video

Watch this quick Transaction Matching
Overview Video

Case Study

Find out how Coca Cola increased
controls and productivity
Read the Case Study

Case Study

Learn hotThe Hyatt increased visibility
across 200+ Hotels & Made Audits a “Non-Event”
Read the Case Study