Make every financial decision from verified data

Finance leaders must move fast. But when your numbers depend on data you haven’t reconciled, speed is a liability. Simetrik gives finance teams a single source of verified truth, so your forecasts, reports, and decisions rest on evidence, not assumptions.

The numbers behind the control

70%

reduction in close time

500B+

in annual TPV reconciled

99.99%

automatic reconciliation rate

What your finance team can finally achieve

Decisions grounded in verified numbers

Stop building forecasts on data you haven’t confirmed. Simetrik ensures every figure your team works with has been reconciled at transaction level.

Real-time visibility into cash, costs, and revenue

Consolidated dashboards built on reconciled data, not raw feeds, so you see what’s actually happening, not what the system thinks happened.

Faster closes, cleaner reporting

Automated controls reduce close cycles and make financial reporting a structured process, not a month-end scramble.

What unverified data costs your finance team

Every FP&A model, every board report, every cash flow projection, all depend on data that flows in from operations, banks, processors, and partners that keep their own records. When that data hasn’t been reconciled, your team is working from raw inputs that might not match reality. The cost is invisible until it isn’t: a restatement, a failed audit, a forecast that missed by a margin you can’t explain.

Know what you actually earned, and what you actually paid

You can run consolidated dashboards that pull from reconciled data across cash positions, fees, settlements, and accounting entries. What you see is verified, not a raw export from five different systems that haven’t talked to each other.

 

  • Monitor cash position, revenue, and cost in real time
  • Drill from summary KPIs down to individual transaction level
  • Set alert thresholds so anomalies surface before they become problems

Stop paying fees that don't match what you negotiated

Revenue leakage and fee overcharges are invisible until you reconcile. With Simetrik, you can validate that revenue is recognized correctly, fees from partners match your agreements, and every cost is accounted for accurately.

 

  • Reconcile theoretical vs. actual fees across all payment partners
  • Detect billing errors and overcharges before they compound
  • Build a verified cost baseline for FP&A and margin analysis

Close the books faster, without the month-end scramble

You can reduce your close cycle significantly by running automated reconciliation and accounting controls continuously, so the close becomes a verification step instead of an investigation.

 

  • Automated journal entries generated from reconciled data
  • Continuous integrity checks between operational systems and the GL
  • Full audit trail for every accounting action

Finance teams that don't depend on IT to adapt

Simetrik’s AI-native design means your finance team can add new variables, update reconciliation rules, adapt controls, and extract insights from any dataset, without waiting on IT for a query or a data team to build an interface. The intelligence is built into the platform, not bolted on.

 

  • The Simetrik AI Agent lets your team configure controls, query dashboards, and investigate anomalies in natural language
  • MCP integration connects Simetrik’s verified data to your FP&A tools, LLMs, and AI models
  • CLI access gives technical finance users full programmatic control without engineering dependency

Trusted by world-class companies

Ready to run finance on verified data?


When every financial team operates from the same reconciled truth, your entire organization moves faster. Simetrik gives you the control layer to make that happen.

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