Manual checking
Spreadsheets and till books cannot keep up when hundreds of M-Pesa payments arrive daily.
PesaRecon automatically matches your M-Pesa transactions to your sales records. Know exactly where every shilling went.
Matched
KES 142,400
Unmatched
KES 12,150
Volume
KES 154,550
Spreadsheets and till books cannot keep up when hundreds of M-Pesa payments arrive daily.
Unmatched payments slip through — customers pay, but sales never get recorded.
Owners and accountants lose evenings reconciling instead of growing the business.
Three simple steps from M-Pesa statement to reconciled books.
Export from M-Pesa and upload your CSV. Till and Paybill formats supported.
Import sales from Excel or enter them manually — match M-Pesa and cash sales.
Auto-matching pairs payments to sales. Review exceptions and close the day.
Exact and fuzzy matching pairs payments to sales in seconds.
Resolve unmatched payments and sales with manual match or dismiss.
Accountant-ready daily reconciliation reports you can print or share.
Track M-Pesa, cash, and bank transfers in one place.
Revenue, match rate, and exception trends over 7, 30, or 90 days.
CSV exports for matched pairs, exceptions, and full data sets.
Scale as your business grows. No hidden fees.
Social proof
“We used to spend two hours every evening matching M-Pesa to sales. PesaRecon cut that to ten minutes.”
“Finally I can show my accountant a clean reconciliation report without rebuilding spreadsheets.”
“The exception list alone paid for itself — we recovered payments we had written off.”
No credit card required. Upload your first statement and see matches in minutes.
Create your free account