Your books and your bank, always reconciled.
Featured in
Flow
Benefits
Continuously reconciled
Exception-only review
Errors caught early
The Problem
Month-end reconciliation is a scramble every single time
Reconciliation gets done in one painful stretch at month-end, so your books are out of date for most of the month and nobody finds the error until it's weeks old.
Flow’s AI agents match transactions as they clear, so the books stay reconciled and problems surface the day they happen.
Transactions are matched and coded as they clear, not in a month-end batch.

Flow clears the clean matches, and you review the ones that actually need a person.

Duplicate charges and missing deposits show up the moment your feed and books disagree.

Month-end starts from books that are already matched.

FAQ's
What does "real-time" actually mean?
As fast as your bank reports it. Most feeds update several times a day, and Flow matches as they arrive.
Are rules or AI doing the matching, and can I trust it?
Rules clear the obvious matches deterministically, the agents handle the rest, and every match shows how it was made.
What happens when something doesn't match?
It's held as an exception for a person to clear, never force-matched.
Which banks does Flow connect to?
Over 12,000 banks across the US, Canada, and the UK, by direct feed.

