Aidfine product
Aidfine Solution
Purpose-built to ingest financial data, reconcile transactions, and generate audit-ready outputs with control at every step.
A simple, controlled reconciliation workflow
From ingestion to evidence packs in a controlled, audit-ready flow.
- 1
Upload bank statements and GL exports
Import your bank statements and cashbook/GL exports in a structured flow.

- 2
Click Run
Aidfine runs explainable matching scenarios to reconcile transactions at scale.

- 3
Review and export evidence
Validate outcomes and download audit-ready reports with full traceability.

- 4
Access the reporting library
Browse all cycles in one place and download outputs in seconds.

What Aidfine delivers
Aidfine automates repetitive matching while keeping finance teams in control through explainable decisions and evidence.
AI-assisted reconciliation
Blend deterministic rules with similarity-based matching to reconcile at scale, including complex scenarios.

Automatic reporting
Generate reconciliation statements and structured outputs that accelerate close and support audits.

Full audit trail
Every action is traceable, with clear history and accountability.

Team Workspace for governance and transparency
Aidfine enables teams to work in a shared workspace with clear roles, visibility, and accountability.
- Shared environment for controllers, treasury, and reviewers
- Role-based access with clear ownership of exceptions
- Transparent collaboration that discourages off-platform handling


Built for African data realities
Aidfine is designed for environments where bank references and ERP data are often incomplete.
- Works with heterogeneous ERPs and variable statement formats
- Handles incomplete identifiers with explainable matching logic
- Designed for complex industries
- Scales across multi-entity groups
Ready to reconcile with confidence?
Standardize your workflow, strengthen controls, and generate audit-ready evidence with Aidfine.

