Operational data and financial records that agree.
Orders, invoices, inventory and payments moving between your operational platform and accounting system on a schedule you can audit.
Document and ledger mapping
Scheduled sync and reconciliation
Error and mismatch reporting
Audit trail
WHAT YOU ACTUALLY GET
What this includes.
- Document and ledger mapping
- Scheduled sync and reconciliation
- Error and mismatch reporting
- Audit trail
HONEST SCOPE
Is this the right thing to buy?
GOOD FIT WHEN
Finance re-enters operational data at month end.Tell us what you are trying to fix.
A sentence or two about the problem is enough to start with. We will tell you plainly whether this is the right next step, or whether something else should come first.