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Purchase Reconciliation Made Simple for Ticket Resellers

Stop wasting hours in Excel. Our purpose-built reconciliation software helps ticket brokers track inventory, match transactions, and eliminate manual errors—so you can focus on growing your business.

Start your 14-day trial today!

The Challenges Ticket Resellers Face Every Day

High Volume, High Stress

Handling thousands of ticket transactions daily makes manual reconciliation a nightmare. Every purchase needs tracking, every refund needs matching, and every discrepancy needs resolution.

Time-Consuming Process

Sorting through bank statements, credit card charges, and ticket management exports can take hours every day. Your team deserves better than endless spreadsheet work

Missed Opportunities

Manual Excel pulls mean you're spending too much time identifying missing inventory. Lost tickets equal lost revenue—and manual processes make it worse.

Seamless CSV Upload & Auto-Matching

Import & Match Instantly

Import transaction data from your ticket management platform with a simple CSV upload. Our system automatically matches each purchase to your bank activity, eliminating manual cross-referencing.

The auto-match feature compares your imported data rows to our inventory system and bank activity, drastically reducing errors and saving valuable time. No more hunting through statements or second-guessing which transaction belongs where.

  • One-click CSV import from any ticket platform

  • Automatic matching to bank transactions

  • Instant visibility into matched and unmatched items

  • Error detection and flagging for quick resolution

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Email Processing: Set It and Forget It

01

Auto-Forward Purchase Emails

Simply set up auto-forwarding for your ticket purchase confirmation emails. No manual entry required.

03

Smarter Transaction Matching

Extracted data enables more accurate matching between purchases and bank transactions.

02

Automatic Detail Extraction

Our system records every detail—seat numbers, purchase amounts, event information, and more.

04

Complete Audit Trail

Every email is stored and linked to its transaction, creating a comprehensive record for your business.

This automated email processing eliminates the need to manually enter purchase details or search through your inbox when reconciling accounts. Everything flows seamlessly into your reconciliation workflow.

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AI Agent Matching: The Smart Solution

No More Guesswork

Our AI processes data from your auto-forwarded emails to accurately match each ticket to the right transaction. Even if multiple orders have the same amount, our AI agent figures out which transaction is which.

The AI analyzes seat numbers, event details, purchase timing, and other data points to create confident one-on-one matches. This eliminates the frustration of identical amounts and ambiguous transactions.

More than 50% time savings reported by users performing reconciliation with AI Matching, significantly outperforming competitor solutions.

Additionally, customers have successfully reduced their reconciliation team from 3 people to just 1 person, thanks to the efficiency of our AI agent.

Direct Refund Linking & Management

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Original Purchase

Track every ticket purchase with complete details and documentation.

Direct Linking

Link refunds directly to their original purchases for accurate tracking.

Clear Visibility

All matched refunds are clearly visible and connected to source purchases.

Complete Reports

Refunds included in CSV reports for transparent, error-free reconciliation.

View and manage refund details easily, with complete transparency into which purchase each refund belongs to. This eliminates confusion and ensures your books are always accurate.

Key Benefits for Your Business

Save 50% of Reconciliation Time

Our users report cutting their reconciliation hours in half using AI Matching. Give your back office team a smart tool so they can focus on higher-value work instead of manual data entry.

Know Your Missing Inventory

Instantly identify which tickets you paid for but haven't received. Stop losing money on missing inventory and take action quickly when discrepancies arise.

Eliminate Manual Errors

Auto-matching and AI-powered reconciliation dramatically reduce human error. No more typos, missed entries, or incorrect matches that throw off your entire accounting

Everything in One Place

No more juggling spreadsheets or reconciling accounts across multiple solutions. Connect your banks, forward emails, and you're done—all your data unified in one platform.

Built Specifically for Ticket Resellers

Unlike generic accounting software, our platform addresses the unique challenges of high-volume ticket purchases and inventory management. We understand your business because we built this solution specifically for ticket brokers.

High-Volume Transaction Handling

Process thousands of daily transactions without slowdown or confusion. Our system scales with your business.

Multi-Platform Integration

Works seamlessly with all major ticket management platforms. Import data from any source with standard CSV format.

Bank Connection Support

Connect multiple bank accounts and credit cards for comprehensive transaction matching across all payment methods.

Refund Complexity Management

Handle the unique challenges of ticket refunds with direct linking and clear audit trails for every transaction.

Ready to Transform Your Reconciliation Process?

Stop letting manual work hold you back. Discover how you can stay on top of inventory, never lose track of what you paid for, and give your team the tools they need to work efficiently.

Our platform is fast, easy to set up, and designed specifically for the challenges ticket brokers face every day. Connect your banks, forward your emails, and start saving time immediately.

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