Bank & Credit Card Reconciliation for Construction Bookkeepers with Sage 100 Contractor
The Problem
Monthly close for Construction Accounting clients stalls on stubborn reconciling items — duplicate card charges, uncleared deposits, miscoded transfers — and the team burns Friday nights hunting them.
What We Build in Sage 100 Contractor
AI matches bank and card feeds to Sage 100 Contractor entries, auto-codes recurring transactions with learned rules, and surfaces only the true exceptions to the bookkeeper — close lands 5 days earlier. Purpose-built for teams running Sage 100 Contractor — uses the native API or agent integration so nothing leaves the system of record.
Sage 100 Contractor Integration Approach
Audit your Sage 100 Contractor configuration
We map the specific Sage 100 Contractor objects, custom fields, and workflows the automation needs to touch for your construction accounting practice.
Build on the Sage 100 Contractor API or agent
Integration happens inside Sage 100 Contractor — no data leaves the system, no parallel tool for your team to learn, no license changes.
Human-in-the-loop handoff
Every automation routes exceptions back to a human in Sage 100 Contractor with enough context to act — AI handles the 80%, your team owns the judgment calls.
See this running in your Sage 100 Contractor instance
30-minute call. We'll look at your actual Sage 100 Contractor setup and show exactly how this workflow fits.