IMS Reconciliation

A Reconciliation Platform

Overview

A series of data matching and reconciliation modules that links and reconcile transactional data, instructions, statements, files and systems.

IMS Reconciliation eliminates expensive integration services, time-consuming cycles of consulting services, risks of high-volume performance and the risk of the dissatisfaction of user-groups.

Select, stack and engage the flexible IMS Modules. Equip business groups, middle-office, and all interested parties with appropriate dashboards for visibility, control, operations and reports. Deliver perfectly to all stakeholders through well engineered dashboards & interface.

The Platform assumes the following roles/functions:

Features

Statement Reconciliation

Matches Instructions against incoming Statements. Instructions can be for moving money or securities through any channel. Statements are usually expected via the SWIFT network, however, statements can arrive through any channel in any protocol.

System Reconciliation

Match records from two different systems for reconciling transactions, positions and balances. Matching can be real-time vs. real-time, real-time vs. batch or batch vs. batch.

Match Type

Supports various match types including one-to-one, one-to-many, many-to-one, and many-to-many, enabling flexible reconciliation logic for different transaction patterns. Define match variables through simple graphical interface.

Pre-Processor

String substitution, enrichment and string manipulation as pre-processing steps for effective linking between transactions represented in different systems.

Statement Management

Organize incoming Statements by Account number, Currency, Debits and Credits for organized display. User interface for adding comments to individual transactions for operational communication and for minimizing printing.

Reference Data

Manage and utilize reference data for proper interpretation and validation of all data received. Utilize reference data for substitution, validation and enrichment as preparation for matching or for delivering reports.

Event Handling

Exceptions are posted on Notifications Dashboards and copies sent out to all interested parties through subscription. Interface provided for repairing and reprocessing.

Views and Reports

Prepares aging reports. Offers pairwise views of instructions against statements. Scheduled delivery of match reports to interested parties. Export to PDF for presentation or Excel for analysis.

Treasury Workstation

Web-based Interface and Dashboards for various business groups globally. Role based secured access by entitlement to perform all day-to-day operations

Information Reporting

Safe-keep messages, files, documents and events. Link by underlying transaction for audit. Data summarization, views, money moment reports by country, currency, region, branch, accounts. Graphical display and export to PDF or Excel.

Benefits

Rapid Deployment

Start with one Module. Implement the complete Payment System within months. Eliminate expensive integration services, fragile message transformation services, unpredictable cycles of consulting services, tedious task of client installations, risks associated with performance and possible dissatisfaction of users.

Instant Integration

Connect and integrate with multiple banks for receiving statements and multiple systems for receiving files, recognize and interpret and prepare data irrespective of the format in which it is delivered.

Transaction Profile

Allows business rules, validation rules and processing rules to be engaged differently for each message by type, sub-type, category or customer.

Quality Assurance

IMS modules undergoes a comprehensive QA process using Test Simulator. IMS displays high performance, durability, resilience and ability to handle stress and survive disaster.

Risk-free Acquisition

Rapid deployment, instant connections and real-time configuration allows prospects to TRY/BUY IMS at zero risk of performance, user-groups satisfaction and operational requirements.

FAQs

What types of reconciliation are supported?

The platform supports a wide range of reconciliation types, including statement, bank, general ledger, Nostro, invoice, supplier, and position reconciliations. Modules can be implemented individually or in combination.

Can the solution handle different data formats and sources?

Yes, it can connect with multiple banks and internal systems, processing data regardless of the format or delivery channel—such as SWIFT, files, or APIs.

How are unmatched transactions and exceptions managed?

Exceptions are displayed on interactive dashboards, where users can review, repair, reprocess, and notify relevant teams through automated alerts.

What is the typical deployment timeline?

Deployment is fast and flexible. You can start with a single module and expand to a full solution within a few months, without relying on complex integration services.