Your accounts reconcile themselves overnight
Agents match transactions across your ledger, bank feeds, and payment tools, chase the breaks, and leave a clean set of books each morning.
Finance
A team of agents that reconciles the books, builds the board pack, and catches the wrong number, running every night, not just at close.
The reconciliations, the variance hunt, the board pack, the work that eats your team's nights runs on its own here. Agents pull from your ledger, your bank feeds, and your spreadsheets, do the matching, and hand you a close you can trust each morning.
Nightly
the books reconcile without anyone starting it
Hours
to close the month, not a week
100%
of transactions checked, not a sample
Agents match transactions across your ledger, bank feeds, and payment tools, chase the breaks, and leave a clean set of books each morning.
Pull the numbers, build the deck, write the commentary. The monthly pack gets assembled from your live data, so you review it instead of building it.
Agents watch every entry for duplicates, outliers, and mistakes, and flag what looks off with the transaction attached, so errors get caught before the report goes out.
Track receivables, spot the overdue accounts, and send the reminders on schedule, while your team works only the exceptions that need a human.
Ask about a line, a variance, or a vendor. Agents trace it back through your systems and answer with the source, so you stop digging through spreadsheets.
Our close went from a five-day scramble to basically done when we walk in. The team spends its time on analysis now, not reconciliation.