Intelligent Financial Close Tools for Enterprises
Our smart Financial Close solutions are based on a clutter free user interface that is loaded with features. Our automated workflows help you work smarter, boost collaboration, manage your audits and produce more accurate financial reports, thereby increasing efficiency by over 25%
reduction in man-hours
reduction in service cost
faster time-to-completion
reduction in man-hours
reduction in service cost
faster time-to-completion
Customers love us for our easy to use features
In-App Communication
Unparalleled Support
Automated Report Generation
Central Repository
FINANCIAL CLOSE WORKFLOW
Customizable Checklists
Set-up your own custom checklists
Integrated PBC with checklists
Integrate new audit requirements and checklists in your daily task manager
Workflows
Role based workflow approval process with built-in audit-trail
In-App Communication
Chat with your colleagues to discuss progress through in-app chat
Easy Schedule Preparation
Bulk import of GL balances to build schedules easily
Auto Flag Issues
Automatic identification of unreconciled GL balances by tagging the schedules
Dashboards
Track progress in parallel with other processes & collaborate easily with internal teams
Data security & Availability
Maintain supporting documents to track audit trail and approve documents easily
Faster Reconciliations
One-to-One, Many-to-One and Many-to-Many reconciliations
Import & Match
Automate, match and reconcile any payment, inter-company balances or other high-volume transactions
Manual Customization
Perform look-ups, concatenation, parsing or custom data manipulation on the platform
Dashboards
Track progress, assign tasks and prepare easy workflows