Sign in
Book a demo
Automated financial reconciliation software

Automatic bank reconciliation to close faster

FYSCAL downloads, matches, and reconciles your bank movements against your accounting, ERP, cards, and other payment methods. Detect differences, reduce errors, and save closing time.

Try 14 days free
The real problem

The problem with manual bank closing

When every payment method, bank, and management system speaks a different language, reconciliation becomes slow, risky, and hard to audit.

01Operational friction

Hours in spreadsheets

Downloading statements, formatting columns, and cross-referencing cells takes days every month.

02Operational friction

Errors that cost money

An undetected difference turns into a later adjustment, audit, or closing panic.

03Operational friction

Multiple sources, one source of truth

Banks, ERP, cards, and wallets speak different languages. FYSCAL unifies them.

The FYSCAL method

How bank reconciliation works with FYSCAL

FYSCAL lets you connect, import, process, reconcile, and visualize all your financial information in simple steps.

01

Connect your banks and sources

Import bank statements, accounting, ERP, or standard files. No development or IT needed.

02

Match movements automatically

The FYSCAL engine identifies matches by amount, date, reference, and entity.

03

Review differences with context

Each difference shows the counter-source, history, and a suggested action.

04

Close and export

Get the reconciled statement in seconds, ready for adjustments, reports, or audit.

Why choose us

Por qué elegir FYSCAL

La conciliación no debería ser manual ni lenta. FYSCAL la transforma en un proceso automático, trazable y auditable.

01

Automatización real

Reglas inteligentes emparejan movimientos, liquidaciones y documentos sin depender de hojas de cálculo.

02

Trazabilidad completa

Cada diferencia queda explicada con origen, fecha, monto y contrapartida, lista para auditoría.

03

Integración flexible

Conectamos bancos, ERPs, tarjetas, billeteras y formatos propios sin cambiar tus sistemas.

FYSCAL modules

What FYSCAL bank reconciliation includes

You do not need to stack spreadsheets, bots, and partial tools. FYSCAL groups the critical modules to run collections, banks, closes, and reports in one system.

01

Automatic import of multiple banks and formats

02

Intelligent matching by amount, date, and reference

03

Difference detection and grouping

04

Integration with cards, wallets, and ERP

05

Full traceability of every movement

06

Export to XLSX, CSV, and TXT

Get your questions answered

Frequently asked questions

Quick answers for finance teams evaluating automation of their operation.

What is bank reconciliation software?

It is a tool that automatically matches bank statements with accounting, ERP, cards, and wallets to identify matches and differences.

Which sources can I reconcile with FYSCAL?

You can import banks, ERP, accounting, cards, wallets, and standard files, even when each source uses a different format.

Can I audit differences?

Yes. Each difference retains its source, date, amount, counterpart, and history so you can review the close with context.

Your next close can be different

Try FYSCAL with your bank

Start free, no card required, and reconcile your first bank in minutes.

Less manual review. More traceability. One version of the close.
Two ways to get started Create free account
Free trialNo card requiredGuided support included