iStrat Automate — Banking Automation
Automate your entire bank reconciliation process inside SAP Business One. Import bank statements, match transactions, post journal entries, and close your books faster — with zero manual effort.
Eliminate manual bank reconciliation. Forever.
What is iStrat Automate Banking Automation?
Banking Automation connects your bank feeds directly to SAP B1, automating the full reconciliation lifecycle. Statement import, transaction matching, exception flagging, and journal entry posting — all automated. What used to take your finance team hours now happens in minutes, with a full audit trail inside SAP.

iStrat Automate – Banking Automation
iStrat Automate – Banking Automation
Key Capabilities
Everything iStrat Automate Banking Automation delivers for your SAP B1 environment.
Automated bank statement import from major North American and Caribbean banks
Intelligent transaction matching
learns your reconciliation patterns over time
AI-powered exception detection
flags unmatched items for human review
One-click journal entry posting directly into SAP B1 GL
Multi-bank, multi-currency, multi-entity support
Full audit trail and reconciliation history inside SAP
Designed to work inside your existing SAP environment — not alongside it.
SAP B1 Integration
Banking Automation integrates with SAP B1's banking module via iStrat's secure API connector. Supports MT940, OFX, CSV, and direct bank API connections. Compatible with all major Canadian and US banks. Works with the iStrat AI Business Platform Financial Processing module for end-to-end AP and cash management automation.
Ready to See Banking Automation in Action?
Book a personalised demo with an iStrat consultant. We will show you exactly how Banking Automation works inside your SAP B1 environment.