Use Cases
Every team that touches financial data at scale faces the same pressure: transactions that won’t reconcile themselves, closes that run over, and auditors expecting answers on the spot. Simetrik gives each department the automated controls to stay ahead.

From finance teams to compliance managers, our clients share three things: they process money at scale, they operate across multiple systems and partners, and they can’t afford gaps in financial control.
Visibility into cash, fees, costs, and close cycles, all built on reconciled data, not spreadsheet estimates.
Close faster with automated journal entries, accruals, and reconciliations, generated from verified data, not raw inputs.
Manage Cash In, Cash Out, and everything in between with automated controls that flag exceptions before they become losses.
Reconcile bank statements, monitor cash positions, and validate settlements across every account, currency, and entity.
Validate every settlement, track chargebacks, and confirm that fees match what you agreed, automatically, at transaction level.
Pre-built control templates for every financial product you launch. Go live with reconciliation ready from day one, without waiting on engineering.
Infrastructure that integrates with your LLMs, AI agents, ERP, APIs, and data stack. Fast to deploy and can be managed through a CLI for full programmatic control.
Audit-ready reports, full traceability, and automated regulatory documentation, so compliance teams always have answers.
From operations to the C-suite, the teams responsible for financial control share the same certainty: every transaction confirmed, every discrepancy caught, every audit passed.
When every financial team operates from the same verified data, your entire organization moves faster. Simetrik gives your teams a shared control layer, so each one delivers more, with less manual effort.