Financial Close

Accelerate your financial close

Shave days off your close and generate accurate, compliant documentation at the end of each cycle.

Validate every transaction

Integrate data from PSPs, banks, and other data sources in one place, then reconcile multi-way transactions against your books.

 

  • Standardize and enrich complex, high-volume datastreams
  • Apply AI-powered rulesets tailored to your policies
  • Compare reconciled data with operational balances
  • Automatically update ledgers in your ERP

Pinpoint and act fast 
on discrepancies

Streamline exception management with real-time alerts on mismatches, errors, and more.

 

  • Configure threshold and logic with no code
  • Enable advanced automation with AI agents
  • Resolve issues well before close

Expedite approvals and sign-offs

Start with trusted, reconciled data that eliminates hours of manual review from the close process.

 

  • Maintain an audit trail from transaction to close
  • Explain the logic behind adjustments, reversals, and other decisions
  • Generate tailored reports for internal and external auditors
  • Securely share data with partners and third parties

Ready to transform your reconciliation workflows?

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