Automated reconciliation and finance-grade ledgers to keep your accounts balanced and audit-ready.
Finance teams often face delays, errors, and compliance stress when closing books. Wisi Pay removes these bottlenecks with real-time reconciliation, intelligent ledgers, and immutable audit trailsβhelping you stay accurate, efficient, and audit-ready.
Instantly matches payments against settlement reports and bank statements. Flags exceptions and creates workflows for quick resolution.
Built-in finance-grade ledger with debit/credit balancing. Ensures accuracy for accounting, reporting, and compliance..
Immutable records of every transaction change and status. Easy exports for auditors, regulators, and internal teams.
π 90% Less Manual Work β Free up finance teams from repetitive tasks. β‘ Faster Month-End Close β Automated reconciliations accelerate financial reporting. π Zero Gaps in Records β Every transaction tracked with audit-ready detail. π Scalable Accounting β Ledger designed for startups to enterprises.