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Financial Automation for Financial Services Controllers

Help controllers accelerate month-end close, automate reconciliations, and improve reporting accuracy with intelligent automation.

Challenges

  • Complex multi-entity consolidation
  • High volume of manual reconciliations
  • Regulatory reporting requirements
  • Intercompany transaction processing
  • Audit preparation burden

Solutions

  • Automated consolidation with elimination entries
  • AI-powered reconciliation with exception handling
  • Regulatory report generation and validation
  • Intercompany transaction automation
  • Continuous audit readiness with documentation

Key Metrics

5 days

Faster month-end close

90%

Auto-reconciled transactions

Zero

Regulatory report errors

50%

Reduction in audit prep time

Key Initiatives

  • Close acceleration
  • Reconciliation automation
  • Regulatory compliance
  • Audit readiness

Built for Controllers in Financial Services

See how New Odyssey can help your team.