All payment flows reconciled on one platform.
ReconHub enables automatic reconciliation of all payment flows through a user-friendly management interface that simplifies all accounting processes. Every transaction is automatically checked, reconciled and booked regardless of the type of transaction (cash, cashless), location (point of sale, e- or m-commerce), branches and currencies. ReconHub is capable of being integrated with all acquirers, ECR / webshops, financial institutions and is designed to adapt to future payment mechanisms. ReconHub supports a modular license model and can be expanded at any time.
Our uniqueness: 100% digital and fully automated process from beginning of a transaction up to booking.
Real-time transaction monitoring; company-wide across all sales channels / card transactions / bank credits.
Immediately identify discrepancies and resolve them at the source.
Verifiable open items for all card transactions offers maximum efficiency right through to controlling.
Individually configurable, 100% automated, 100% controlled and 100% correctly booked in the accounting department.
ReconHub™ Light Edition
Suitable for merchants who operate nationally, have one cash register supplier / webshop and one client.
ReconHub™ Standard Edition
Suitable for large nationally active merchants, with uniform cash register systems, a web shop and an accounting department.
ReconHub™ Pro Edition
Suitable for large multinational merchants, with several cash register systems / web shops and centralised accounting.
ReconHub™ Individual Edition
Suitable for large national and multinational corporations with several system suppliers, contractual partners and clients.
ReconHub can meet your individual needs.
Abrantix will provide pre-sales consulting free of charge to ensure the software meets your needs and to help plan the configuration. Reassuring you that the solution will benefit your company, and deliver the cost and time savings you deserve.
1 Consulting & Analysis
3 Maintenance support
Automatic data retrieval of sales transactions, remuneration and bank data, verifiable open positions, transparent error detection.
Fully automated reconciliation & booking, audit-proof, fast error correction, no booking errors in your financial accounting.
Customised configuration, integrable to all system suppliers, flexible licence model, unlimited configurable interface options.
Project management, maintenance & support, software deployable on premise or cloud, release management.
Merchant Payment Ecosystem / Initiative of the Year Award 2020.
The proven financial converter for all companies.
FibuSync software has been used successfully for years in retail, social services and pension funds. Financial data, such as the electronic account statement (camt.053), payment data from credit card companies or CSV data from online trading can be automatically obtained and booked. The software can be individually configured and easily installed. With FibuSync, digital financial information remains digital from the creation of the transaction to the booking.
This reduces the error rate and leads to more quality.
The transaction data can be gathered from all banks using EBICS and booked into financial accounting platforms using the FibuSync camt.053 loader.
E-commerce and POS sales can be automatically obtained using the generic CSV loader from FibuSync and converted into the appropriate format for any financial accounting tool.
Acquirer data in RAF format can be obtained from all EP2 acquirers or from an EP2 PMS using the FibuSync EFT loader and loaded into any financial accounting platform.
1 Order & Installation
2 Configuration Support
3 Test & GoLive
Simple installation and easy to use in all accounting environments.
Conversion to 35 different accounting file formats.
Different import loader for different data transactions.
Pick the right solution for your needs
- Database based reconciliation software
- Fully automated data acquisition
- Data review, coordination and booking
- Highly configurable: multiple clients, currencies, languages
- Integrateable into all ECR/web shops/acquirers/banks and ERP systems
- Designed for all merchant sizes
- Converter Software without database
- Can be quickly integrated into your system
- Processes bank account receipts
- Processes acquirer data in RAF / PMS format
- Processes PSP and sales data using a generic CSV loader
- Export interface to financial accounting platforms
General Information or requests regarding our reconciliation products.
Support with the installation and technical aspects of our reconciliation tools.
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