/ FULLY EMBEDDED MODULE

Native D365 reconciliation software.

Match high-volume bank statements directly inside your Dynamics 365 ERP. Eliminate manual file uploads and custom middleware with fully embedded algorithmic matching that connects to any global bank.

A high-fidelity clean UI mockup of TreasuryFusion ledger matching screen nested inside Microsoft Dynamics 365, showing automated reconciliation rules, cool natural daylight, macro crop.
A high-fidelity clean UI mockup of TreasuryFusion ledger matching screen nested inside Microsoft Dynamics 365, showing automated reconciliation rules, cool natural daylight, macro crop.
ALGORITHMIC MATCHING

High-volume statement clearing

Process thousands of bank transactions in seconds. Our native solution automatically matches incoming bank statements against open customer and vendor ledger entries without exporting sensitive financial data from your ERP.

LEDGER SETTLEMENT

Real-time ledger matching

Execute automated clearing rules directly within your general ledger. TreasuryFusion resolves complex multi-invoice settlements, bank fees, and multi-currency transactions with zero external middleware and complete audit trails.

Supports standard formats including BAI2, MT940, and ISO 20022 XML out-of-the-box.

“By automating our daily bank statement reconciliation directly inside D365, we reduced our month-end close cycle from five days to a single afternoon while maintaining a strict audit trail.”

FORTUNE 500 CONTROLLER
+ SYSTEM DEMO

Secure your ledger automation

Schedule a technical architecture review with our systems architects to see how TreasuryFusion embeds directly into your Microsoft Dynamics 365 environment and secures your treasury workflow.