Embedded Finance InfrastructureLive · production API
Statements & Reconciliation
Automated financial reporting
Automates retrieval and processing of bank statements, standardizing formats for reconciliation between bank records and internal ledgers.
Best forCorporate
GET/v1/baas/statements
200 OK{ "status": "reconciled", "format": "MT940", "period": "2026-06-16", "matched_count": 1842, "unmatched_count": 7, "exceptions": 2, "erp": "SAP", "closing_balance": 384250.75, "currency": "SAR", "iban": "SA** **** 6789", "latency_ms": 312}
ResponseSAPOracleMS Dynamics
Key capabilities
- MT940 & MT942 formats
- Auto-matching & exception handling
- Full audit trail
Where teams use it
- Treasury Reconciliation
- Cash Position Management
- Audit Trail Automation
- ERP Statement Posting
Ready to build with Statements & Reconciliation
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