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.
| Txn ID | Source A (Gateway / System) | Source B (Bank Ledger) | Amount | Variance | Match Status |
|---|---|---|---|---|---|
| TXN-984021 | Razorpay Gateway | HDFC Core Bank | ₹14,500.00 | ₹0.00 | MATCHED |
| TXN-984022 | Stripe Global | ICICI Nodal Bank | ₹18,660.00 | ₹-240.00 | VARIANCE |
| TXN-984023 | Cashfree Payments | Axis Bank Statement | ₹52,400.00 | +₹52,400.00 | UNMATCHED |
| TXN-984024 | PhonePe PG | YES Bank Settlement | ₹3,200.00 | ₹0.00 | MATCHED |
| TXN-984025 | Shopify Checkout | Razorpay Gateway | ₹8,900.00 | ₹-178.00 | VARIANCE |
| TXN-984026 | Tally Prime ERP | HDFC Core Bank | ₹1,25,000.00 | ₹0.00 | MATCHED |
| TXN-984027 | Zoho Books API | Stripe Global | ₹4,450.00 | ₹0.00 | MATCHED |
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.
Fragmented Data
Payment gateways, bank feeds, ERP vouchers, and checkout carts operate in isolated data silos with conflicting schemas.
Manual Matching
Finance teams spend hundreds of hours manually comparing Excel VLOOKUP formulas across thousands of rows.
Hidden Exceptions
MDR fee variances, GST discrepancies, missing settlements, and duplicate charges get buried inside massive spreadsheets.
Slow Month-End Close
Issues are discovered weeks after transactions settle, forcing finance teams to delay reporting and audit compliance.
One Operational Layer for Financial Data
Click any layer in the architecture stack to inspect its operational controls.
02. Normalization & Canonical Schema Engine
Transforms disjoint financial records into standardized ABLEKA transaction contracts with uniform timestamps, currencies, fees, and references.
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 →Experience ABLEKA Flow in action.
Financial Operations Console Overview
Real-time status across payment gateways, bank feeds, ERPs, and exception queues.
Five steps to automated financial operations.
Connect
Plug in payment gateways, bank feeds, ERPs, or upload CSV files.
Normalize
Transform heterogeneous record fields into standardized data contracts.
Reconcile
Execute deterministic & fuzzy matching engines to pair transactions.
Resolve
Triage variances with AI root cause insights and assigned workflow tickets.
Automate
Publish balanced ledgers back into Tally, Zoho, SAP, or custom webhooks.
Built for your transactional workflow.
Fintech & Payments
Reconcile high-throughput payment gateway settlement files, nodal bank accounts, and merchant chargebacks.
Subscription SaaS
Sync Stripe/Razorpay recurring billing invoices with accounting ledgers (Tally, Zoho Books) automatically.
Marketplaces
Audit seller payout balances, gross merchandise value (GMV), platform commission fees, and TDS deductions.
E-Commerce Retail
Match checkout orders with gateway settlements, logistics COD collections, and refund adjustments.
Finance & Ops Teams
Accelerate month-end closing from 15 days to minutes with automated exception handling and audit trail logs.
High-Volume Enterprise
Multi-entity financial operations supporting tens of millions of monthly transactions with tenant isolation.
Connect the financial systems you already use.
Razorpay Gateway
Automated settlement & fee reconciliation via API
Stripe Global
Multi-currency charge & payout matching
Cashfree Payments
Nodal account & batch settlement sync
PhonePe PG
UPI & QR transaction line item matching
HDFC Core Banking
Direct host-to-host statement feed ingestion
ICICI Nodal Feed
Real-time MT940 / SFTP statement sync
Axis Corporate Bank
Automated daily ledger balance reconciliation
Tally Prime ERP
Bi-directional voucher entry & ledger matching
Zoho Books
REST API sync for customer invoices & payouts
QuickBooks Online
Automated bank feed & journal entry verification
Oracle NetSuite
High-volume enterprise ledger & GL posting
SAP S/4HANA
Custom RFC & OData pipeline connector
Custom CSV / Excel Mapper
Drag-and-drop column mapping for raw files
REST Ingestion API
High-throughput /v1/ingest endpoint
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.
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.
Flexible plans for growing finance operations.
Estimate Your ABLEKA Flow Pricing
Everything you need to know about ABLEKA.
Make financial operations automatic.
Connect your financial systems, automate multi-way reconciliation, and give your finance team instant exception visibility today.