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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