
Application that automates treasury and bank reconciliation by synchronizing Microsoft Business Central with Agicap in real time, enabling centralized monitoring of financial flows and batch-based accounting entries.
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banking and reconciliation

Application that automates treasury and bank reconciliation by synchronizing Microsoft Business Central with Agicap in real time, enabling centralized monitoring of financial flows and batch-based accounting entries.
A native Business Central application that provides centralized payment processing, vendor validation, approval automation, bank account management, check printing, electronic signatures, remote payment services, and multi-entity integration for accounts payable workflows.
An app for Microsoft D365 Business Central that automates bank reconciliation, bank feeds, and transaction matching to reduce manual work and improve financial accuracy with real-time cash position visibility.
Electronic banking AppSource add-on for Dynamics 365 Finance & SCM that automates import and posting of daily bank statements from MultiCash/Profi cash/SFIRM-style systems, pre-assigns ledger entries and matches open AR/AP items.
A blockchain-enabled business payment network enabling direct bank-to-bank transfers with zero transaction fees, automated ERP reconciliation, and real-time payment insights integrated with NetSuite, Sage Intacct, Microsoft Dynamics, Acumatica, and other ERPs.
Native Dynamics 365 Finance and Operations add-on for AR/AP postdated cheques and promissory notes—bank clearance, cheque inventory/printing, bounced-cheque management, transfers, payment receipts and full reconciliation with the chart of accounts.
Dynamics 365 Business Central app with pre-built banking interfaces for credit transfers, direct debit collections and bank statement upload, plus transaction aggregation, customer/vendor FactBoxes and a banking Role Centre.
App automating bank operation processes including transfer order creation, bank statement processing, automated statement matching, SEPA export/import, and financial journal export.
App providing Slovak banking-specific functionality including payment symbol tracking, bank account creation via templates, and customer/supplier payment information management.

Cloud-based bank integration solution for Microsoft Dynamics 365 Business Central that automates payment processing, deposits, bank reconciliation, and multi-currency transactions. Integrates directly with banks across Norway, Sweden, Denmark, Finland, Germany, Portugal, England, and the USA.
Controls which general ledger accounts can be used for sales, purchase, service, and journal transactions when direct posting is enabled in Business Central.
Allows different inventory adjustment general ledger accounts to be used based on batch or reason for adjustment in Business Central, extending the General Posting Setup matrix.

Excel-based reporting, budgeting, and planning platform that connects live to Dynamics 365 Business Central and other ERPs via API, enabling real-time financial reporting, budget write-back, data analysis, and consolidation entirely within Excel without requiring data export or overnight refresh.
A complete FP&A platform built on Microsoft technology that integrates Excel, Power BI, and Microsoft Teams to enable budgeting, forecasting, scenario planning, consolidations, cash flow management, and financial close processes with AI-powered insights and workflow automation.
Business Central SaaS payment-fraud prevention app that verifies vendor/customer IBAN–name matches via SurePay, plus NL VAT and company registration checks, with status on vendor/customer cards and purchase/sales documents before payments leave BC.
Unified accounts receivable and B2B payment automation platform that automates the invoice-to-cash process, including digital invoicing, cash application, collections management, reporting, and B2B payment services with integrations to Dynamics 365.
Industry-specific ERP solution built on Microsoft Dynamics 365 Business Central for construction, building, public works, engineering, and services sectors. Centralizes project management, purchasing, subcontracting, resource tracking, and accounting in a single platform with real-time visibility.

A financial operations platform providing bank connectivity, payment processing, and reconciliation tools built directly into Microsoft Dynamics 365 Business Central and Finance, enabling real-time bank feeds, card payments, embedded payments, and automated reconciliation.
Banking and reconciliation products connect Microsoft Dynamics 365 to bank feeds and automate statement matching. They import transactions from banks or payment providers, match them against open entries with configurable rules, and post the differences. Finance teams use them to reconcile daily instead of at month end.
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