Match
Balances and transactions line up across systems.
ReconFlow gives finance teams ledger matching, fee attribution, exception queues, and audit packages across providers.
ReconFlow is designed around exception resolution, ledger exports, and evidence packages rather than raw provider CSV stitching.
Balances and transactions line up across systems.
Open items are grouped by reason and owner.
Audit and accounting outputs are packaged from the same record.
Source links, provider IDs, and review notes stay attached to each close item.
Provider, chain, ledger, and business-reference records are present.
Balances, fees, confirmations, and internal ledger state agree.
An owner reviews the reason-coded variance before close.
Resolved state and supporting source records are packaged for review.
Every route keeps Alloy's public story grounded in operating records, custody boundaries, and right-sized modules.
We will map the first workflow Alloy should stabilize, the custody boundary, and the modules that create evidence.
Prefer email? hello@alloy.build