{"best_for":["Mid-market companies","Enterprise companies","Shared services centers","BPO operations","Public sector finance departments"],"citation":{"dataset":"aitoolsforbusiness-agent-tool-export","directory_tool_url":"https://aitoolsforbusiness.ai/kanbina","json_profile_url":"https://aitoolsforbusiness.ai/data/tools/kanbina.json","markdown_profile_url":"https://aitoolsforbusiness.ai/data/markdown/tools-md-027.json","schema_version":"1.4.0","suggested_citation_label":"AI Tools for Business: Kanbina (https://aitoolsforbusiness.ai/kanbina)"},"features":["Intelligent Document Processing: Extracts information from unstructured documents such as invoices, statements, and tax forms to generate transactions.","Straight-Through Processing: Designed to automate the flow of financial data from document ingestion to ERP update.","Real-Time ERP Updates: Uses APIs to send completed transaction data into cloud or on-premise ERP systems in real time.","GenAI Assistant Integration: Supports integration with Microsoft Copilot and ChatGPT to provide insights and support financial operations.","Multi-Channel Approvals: Supports invoice and transaction approvals via email, mobile, or chat with automated notifications.","AI Innovation Platform: A toolset that allows users to create custom AI services for specific business processes across the enterprise."],"freshness_status":"fresh","name":"Kanbina","pricing_note":"Pricing was not clearly available from the provided evidence. Buyers should confirm current pricing on the vendor website.","pricing_url":null,"primary_category":"Finance & Accounting","profile_last_verified":"2026-06-05T04:43:21.129Z","secondary_categories":[],"short_description":"Kanbina is a finance automation platform that uses AI and machine learning to handle transactional accounting tasks and ERP updates in real time.","slug":"kanbina","sponsorship_status":"none","url":"https://aitoolsforbusiness.ai/kanbina","use_cases":["Accounts Payable Automation: Using AI to read invoices and match them with POs and GRNs at the line level.","Bank Reconciliation: Matching bank statements to ERP transactions and automating ledger adjustments.","Cash Allocation Processing: Matching bank data to open invoices to generate customer payments in the ledger.","Revenue Recognition: Automating obligation and fair value adjustments for B2B contracts based on specified policies.","Vendor Onboarding: Managing the intake and documentation process for new vendors through automated workflows."],"website_url":"https://kanbina.ai/"}