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reconciliation

Formance Reconciliation

Formance Reconciliation compares balances between your Formance Ledger and cash pools to verify financial consistency and identify any discrepancies that need investigation. Regular reconciliation is critical for producing reports that prove the assets in your ledger are backed by actual funds, ensuring audit compliance and financial integrity.

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This project tries to reconciliate your Ledger's transactions flow with your payment's provider data

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