ABLEKA Flow 2.0 Platform ReleaseExplore Demo

Financial operations, finally in sync.

ABLEKA Flow automates reconciliation, exception management, and financial workflows across banks, payment gateways, ERPs, and internal ledgers in real time.

Looking for developer documentation? Explore REST API & Webhooks →
LIVE DATA FEED
Filter View:
Processed Volume
₹4.82 Cr
+12.4% vs last period
Match Rate
96.88%
1,209,310 txns matched
Open Exceptions
2,431
Triage queue prioritized
Auto-Resolution
91.4%
1,240 rules active
Txn IDSource A (Gateway / System)Source B (Bank Ledger)AmountVarianceMatch Status
TXN-984021Razorpay GatewayHDFC Core Bank14,500.00₹0.00 MATCHED
TXN-984022Stripe GlobalICICI Nodal Bank18,660.00₹-240.00 VARIANCE
TXN-984023Cashfree PaymentsAxis Bank Statement52,400.00+₹52,400.00 UNMATCHED
TXN-984024PhonePe PGYES Bank Settlement3,200.00₹0.00 MATCHED
TXN-984025Shopify CheckoutRazorpay Gateway8,900.00₹-178.00 VARIANCE
TXN-984026Tally Prime ERPHDFC Core Bank1,25,000.00₹0.00 MATCHED
TXN-984027Zoho Books APIStripe Global4,450.00₹0.00 MATCHED
Audit Trail: Every record signed with SHA-256 hash
Showing 7 live rows (Demo Stream)
BUILT FOR ENTERPRISE-GRADE FINANCIAL OPERATIONS INFRASTRUCTURE
API-First Architecture
Cloud-Native Scaling
Audit-Ready Traceability
Multi-Source Ingestion
Grounded AI Operations
Zero-Data Loss Control
The Operational Bottleneck

Finance shouldn't depend on spreadsheets.

Manual reconciliation across disconnected payment gateways, bank statements, and ERP ledgers creates operational leakage and delays month-end closing.

01

Fragmented Data

Payment gateways, bank feeds, ERP vouchers, and checkout carts operate in isolated data silos with conflicting schemas.

02

Manual Matching

Finance teams spend hundreds of hours manually comparing Excel VLOOKUP formulas across thousands of rows.

03

Hidden Exceptions

MDR fee variances, GST discrepancies, missing settlements, and duplicate charges get buried inside massive spreadsheets.

04

Slow Month-End Close

Issues are discovered weeks after transactions settle, forcing finance teams to delay reporting and audit compliance.

Platform Architecture

One Operational Layer for Financial Data

Click any layer in the architecture stack to inspect its operational controls.

Layer 02 Deep-Dive

02. Normalization & Canonical Schema Engine

Transforms disjoint financial records into standardized ABLEKA transaction contracts with uniform timestamps, currencies, fees, and references.

Key Sub-System Capabilities:
Universal Data Contract Mapping
MDR Fee & GST Standardizer
Multi-Currency Conversion
Canonical Transaction Hashing
Core Capabilities

Built for scale, accuracy, and automation.

Reconciliation Engine

Automate 1:1, 1:N, and N:M record matching with deterministic reference keys and configurable fuzzy date tolerances.

Explore Matching Engine →

Exception Intelligence

Categorize settlement variances, MDR rate discrepancies, and missing deposits into prioritized triage queues.

Inspect Exception Triage →

Workflow Automation

Turn repetitive finance operational tasks into automated visual triggers, notifications, and ledger adjustments.

View Workflow Builder →

Financial Data Layer

Normalize disjoint payloads across gateways, bank feeds, ERPs, and CSV uploads into unified canonical schemas.

View Data Layer →

AI Operational Layer

Run natural language operational queries over transaction ledgers and receive grounded anomaly insights.

Explore AI Intelligence →

Audit & Controls

Maintain complete chain-of-custody logging every manual override, rule execution, and reconciled transaction state.

View Audit Controls →
Interactive Product Showcase

Experience ABLEKA Flow in action.

Financial Operations Console Overview

Real-time status across payment gateways, bank feeds, ERPs, and exception queues.

96.88% Reconciled12 Active Connectors
Gross Volume Reconciled
₹4.82 Cr
Across 1,284,920 transactions
Open Discrepancies
2,431
₹1.84 Lakh total variance
Rules Executed
1,240 / day
91.4% automated resolution
Execution Lifecycle

Five steps to automated financial operations.

01

Connect

Plug in payment gateways, bank feeds, ERPs, or upload CSV files.

02

Normalize

Transform heterogeneous record fields into standardized data contracts.

03

Reconcile

Execute deterministic & fuzzy matching engines to pair transactions.

04

Resolve

Triage variances with AI root cause insights and assigned workflow tickets.

05

Automate

Publish balanced ledgers back into Tally, Zoho, SAP, or custom webhooks.

Tailored Industry Solutions

Built for your transactional workflow.

Financial Connectors

Connect the financial systems you already use.

RZP
AVAILABLE

Razorpay Gateway

Automated settlement & fee reconciliation via API

Ready for Sync
STR
AVAILABLE

Stripe Global

Multi-currency charge & payout matching

Ready for Sync
CF
AVAILABLE

Cashfree Payments

Nodal account & batch settlement sync

Ready for Sync
PP
AVAILABLE

PhonePe PG

UPI & QR transaction line item matching

Ready for Sync
HDFC
API NATIVE

HDFC Core Banking

Direct host-to-host statement feed ingestion

Ready for Sync
ICICI
API NATIVE

ICICI Nodal Feed

Real-time MT940 / SFTP statement sync

Ready for Sync
AXIS
API NATIVE

Axis Corporate Bank

Automated daily ledger balance reconciliation

Ready for Sync
TALLY
AVAILABLE

Tally Prime ERP

Bi-directional voucher entry & ledger matching

Ready for Sync
ZOHO
AVAILABLE

Zoho Books

REST API sync for customer invoices & payouts

Ready for Sync
QBO
AVAILABLE

QuickBooks Online

Automated bank feed & journal entry verification

Ready for Sync
NETSUITE
API NATIVE

Oracle NetSuite

High-volume enterprise ledger & GL posting

Ready for Sync
SAP
API NATIVE

SAP S/4HANA

Custom RFC & OData pipeline connector

Ready for Sync
CSV
CSV SUPPORTED

Custom CSV / Excel Mapper

Drag-and-drop column mapping for raw files

Ready for Sync
REST
WEBHOOK

REST Ingestion API

High-throughput /v1/ingest endpoint

Ready for Sync
Developer Infrastructure

Build financial workflows without rebuilding the stack.

ABLEKA provides RESTful endpoints, webhook streams, SDKs, and an interactive Sandbox environment to programatically ingest transactions and resolve discrepancies.

POST /v1/reconciliations API Endpoint
Real-Time Exception Webhook Signatures
Interactive Synthetic Data Sandbox
curl -X POST https://api.ableka.com/v1/reconciliations \ -H "Authorization: Bearer ak_live_88492019" \ -H "Content-Type: application/json" \ -d '{ "source_a": "razorpay_gateway", "source_b": "hdfc_nodal_bank", "period_start": "2026-08-01T00:00:00Z", "period_end": "2026-08-19T23:59:59Z", "rule_set_id": "rule_mdr_tolerance_v2" }'
POST /v1/reconciliations200 OK (Response: 84ms)
Security Architecture

Designed for financial data privacy & control.

Architecture engineered to support strict enterprise security requirements.

End-to-End Encryption

AES-256 encryption at rest and TLS 1.3 in transit across all data pipelines.

Tenant Isolation

Logical and physical data boundary separation for complete multi-tenant privacy.

Immutable Audit Logs

Cryptographically signed logs recording every rule execution, match, and manual override.

Transparent Pricing

Flexible plans for growing finance operations.

Interactive Estimator

Estimate Your ABLEKA Flow Pricing

Estimated Monthly Transactions:25,000 txns
5,000100,000500,000+
Connected Data Sources (Gateways, Banks, ERPs):4 Sources
Finance Team Seats Required:5 Users
Recommended TierSTARTER
₹3,999/mo
Billed annually (includes 20% discount)
Includes Plan Capabilities:
Up to 25,000 monthly transactions
4 financial data source connections
Deterministic & fuzzy reconciliation engine
Standard exception queue & triage
Email support & documentation access
Start Free 14-Day Trial
Frequently Asked Questions

Everything you need to know about ABLEKA.

ABLEKA Flow is a cloud-based financial operations platform designed to automate reconciliation, exception triage, financial workflow orchestration, data normalization, reporting, and AI-assisted operations across banks, payment gateways, ERPs, accounting systems, and custom CSV/API feeds.

Make financial operations automatic.

Connect your financial systems, automate multi-way reconciliation, and give your finance team instant exception visibility today.