Target group reconciliation eligibility
What is target group reconciliation eligibility?
Easily track which target groups are eligible for reconciliation this and next month, by the 25th of each month as per Cint’s reconciliation policy, via the eligible to submit tab to ensure your submissions are completed on time.
Ensuring a timely reconciliation submission increases control over your budget, improves your target group ROI and results in higher-quality of insights.
How can I view which target groups are eligible for reconciliation?
To view which target groups are eligible for reconciliation:
Log in to the Cint Exchange.
Click reconciliations on the navigation bar.
Select then eligible to submit.
You will be able to view reconciliation-eligible target groups for this and next month.

I’m the account administrator, can I view all target groups eligible for reconciliation?
Yes, as an account administrator, you are able to view and reconcile target groups for all the projects in your account.
I’m the project manager, can I view which target groups are eligible for reconciliation?
Yes, as a project manager, you are able to view and reconcile target groups for all the projects that list you as the manager.
Where can I find Cint’s reconciliation policy?
In the Cint Exchange, you can find Cint’s reconciliation policy by clicking the help button from any page.
How do I submit a reconciliation?
To submit a reconciliation:
Log in to the Cint Exchange.
Click reconciliations on the navigation bar.
You can able to submit your reconciliations from the Submitted and eligible to submit tabs.
Read the step-by-step reconciliation submission guide.
Why is no data available on the 26th day of the current month?
The Cint reconciliation policy stipulates that the expiry date is the 25th day of each month to submit reconciliation and all sessions for that period must be reconciled by the deadline. From the 26th until the end of the month, there will not be any sessions eligible for reconciliation in that month hence there is no data available to be displayed in the current month tab.
Sessions eligible to be reconciled until the 25th of the next month will be shown in the next month tab.
Why is the cost of my completes shown only in USD?
Your target groups may belong to business units that have different currencies assigned to them.
To simplify the reconciliation eligibility tracking, the cost of the completes for each target group is shown in its respective currency but the total is converted to USD to aggregate all target groups. This feature is still under development and we hope to enhance the currency availability for aggregate target group reconciliation eligibility in the future.