Cointab
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Featured Articles
How do I set a new password after clicking the email link?
What does the 'Coming soon' label mean on product cards?
How do I start using Reconciliation?
I received a verification email but I didn't sign up. What should I do?
How do I view my active sessions and sign out devices I no longer use?
How do I map columns in the Import modal after uploading a file?
Manage your account with ease — sign up, log in, recover passwords, and keep your profile and sessions secure.
How do I change the email I entered before verifying?
How do I create a Cointab account?
How do I verify my email to complete sign up?
How long is the verification link valid?
I received a verification email but I didn't sign up. What should I do?
Discover Cointab’s AI-assisted reconciliation tools to match records, spot discrepancies, review transactions, and download audit-ready reports.
I only see the welcome message and no reconciliation entries — what should I do?
How do I start using Reconciliation?
I clicked 'Notify me' but didn't receive any notification — what should I check?
What does the 'Coming soon' label mean on product cards?
What information is shown on the Reconciliation card?
View important alerts, reconciliation updates, and workflow activity so your finance team never misses critical changes.
How can I tell when a notification was created?
How do I open the Notifications page?
How do I open the report linked in a notification?
How do I view older notifications or go to a different page of notifications?
How do I view only unread notifications?
Manage organisation details, add or update team members, and configure security settings to control access and protect your Cointab workspace.
How do I change my organization's Timezone?
How do I set or change my organization's Country?
How do I update my Organization name?
What should I do if 'Save changes' doesn't save or returns an error?
Where do I find Organization settings?
Cointab is not just a bank reconciliation tool or payment gateway reconciliation tool. It is a flexible reconciliation engine for comparing any two sides of financial or operational data.
How do I create a new reconciliation?
How do I map columns in the Import modal after uploading a file?
How do I remove or replace an uploaded file from the Create view?
How do I upload a file to the 'Upload file' area?
What does the import preview table show and how should I use it?