“Intercompany never quite balances”
Many entities, many currencies, one period.
Intercompany, eliminations, consolidations, multi-book and multi-currency — purpose-built for groups that close together.
The pains, named plainly.
“Consolidations done in spreadsheets”
“FX revaluation a multi-day exercise”
The capabilities that move the needle.
Each one runs on the same ledger, the same identity layer, the same evidence vault — so adopting one strengthens the rest.
Journal posting & FX
Every journal traceable to its source. Every currency revalued cleanly.
Read morePeriod-end close
A close that runs on rails, with everyone watching the same dashboard.
Read moreAccount reconciliation
Every balance-sheet account, reconciled and signed-off.
Read moreCash & treasury
One screen for cash, exposure and the next 13 weeks.
Read moreWhat teams report after.
Pulled from rollouts inside finance teams that retired their previous stack. Same numbers, different system.
Built for multi-entity groups.
We onboard a small cohort each cycle. Request a demo and we'll be in touch within two business days.