Dealership Reinsurance Platform

Automate.
Reconcile.
Stay Compliant.

ReconIQ gives controllers, warranty administrators, and dealer groups a cleaner way to import monthly files, reconcile balances, surface discrepancies, and package audit-ready reporting.

124

reports processed this cycle

7

discrepancies surfaced early

98.6%

accuracy score after review

ReconIQ Workspace

Trust reconciliation

Import report

Reports Processed

124

+18%

Discrepancies Found

7

-22%

Accuracy Score

98.6%

+2.4%

Review Queue

Premium ledger vs trust balance

Variance isolated to two contracts

Carrier statement upload complete

Ready for reconciliation review

Compliance packet prepared

Checklist passed for controller sign-off

Audit Packet

Monthly reconciliation summary
Discrepancy log with reviewer notes
Submission-ready compliance checklist

Operator View

Control today.
Confidence tomorrow.

How the workflow is structured

Built around real month-end operating sequences, not generic dashboards.

ReconIQ mirrors how dealership reinsurance teams actually work: intake first, reconciliation second, exception review third, and reporting last.

1

Import the monthly package

Pull carrier statements, remittance files, premium schedules, and trust exports into one structured workspace.

2

Reconcile what changed

Match balances across files automatically, isolate variances, and point reviewers toward the line items that need judgment.

3

Produce the review packet

Generate discrepancy logs, reviewer checklists, and audit-ready reports without rebuilding the same workbook every month.

What gets standardized

Imports

Monthly statements, remittance files, spreadsheet exports, and supporting schedules.

Controls

Variance detection, guided review checkpoints, and cleaner exception handoff.

Outputs

Audit-ready reports, discrepancy logs, and repeatable close documentation.

Best-fit teams

Auto dealerships managing monthly reinsurance reporting
Warranty administrators reconciling high-volume statements
Dealer groups standardizing review across rooftops
Reinsurance partners improving audit readiness

Clear promises for a high-stakes workflow

Automation handles the repetition. Your team stays in control of exceptions, approvals, and compliance judgment.

Pricing

Straightforward plans for replacing spreadsheet-heavy month-end work.

Start with a focused workflow, expand across entities, and move to custom implementation when the reporting environment gets more complex.

Basic

For smaller finance teams replacing manual monthly reporting work.

$199/month

Monthly report imports
Core reconciliations
Discrepancy detection
Standard reporting exports
Request demo
Best for growing dealer groups

Professional

For dealer groups and administrators that need faster review cycles and stronger controls.

$499/month

Everything in Basic
Review checklists
Audit-ready reporting packets
Issue prediction before submission
Priority onboarding support
Book a walkthrough

Enterprise

For multi-entity organizations with custom approvals, integrations, and rollout support.

Custom

Multi-location rollout planning
Custom integration support
Advanced workflow configuration
Dedicated implementation guidance
Volume-based commercial terms
Talk to sales

Common questions

Practical answers before you evaluate.

These are the questions that usually come up when a team is trying to reduce manual reconciliation work.

Closing CTA

Make month-end reinsurance reporting easier to trust.

See how ReconIQ fits your files, review checkpoints, and reporting deadlines in a focused walkthrough built around your actual workflow.