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Software used to verify and adjust account balances at the end of a financial period. - Create reliable checklists for closing ledgers and accounts - Reconcile accounts to confirm various sources of financial data within the company are in agreement - Track progress in completing closing processes - Use integrations with spreadsheets and other accounting software to consolidate financial data
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The HighRadius Autonomous Accounting software includes Financial Close Management and Account Reconciliation products as part of the Record to Report suite offering. Using AI-based anomaly detection, it helps prevent manual tasks from being executed at the end of the month. Enables review of Financial Account Reconciliation before Month close with Connected Workspaces. Real-time, Single view of all data sources and No spreadsheets! Powered by RivanaTM our proven Artificial Intelligence platform, make day-zero financial close a reality through immediate and accurate decisions. Identify and resolve variances for General Ledger Accounts through configurable matching criteria and algorithms
Planful transforms the way you plan, close, and report so you can drive more impactful decisions across your business. Align every squad, inform every move, and change direction using a platform designed to improve your financial performance. We help businesses drive peak financial performance, and our platform is used around the globe to streamline business-wide planning, budgeting, consolidations, reporting, and analytics.
BlacklIne Financial Close unifies and connects reconciliation and journal entry processes to accelerate the close and unleash your team’s productivity. Refocus your teams on analysis and strategic business partnership by replacing repetitive, spreadsheet-heavy work with leading-practice automation. Centralize data and close activities, automate journal entries and reconciliations, strengthen controls, and enhance visibility.
With Accountfy, your company gains agility in daily activities, as the financial team no longer spends time on manual tasks and can dedicate more to strategic analysis. The platform guarantees governance through the centralization of financial information, generated based on accounting, ensuring security in numbers and, consequently, making decisions with greater assertiveness. These are some of the benefits we deliver to our customers: - Data Consolidation from different systems and sources, providing a more holistic and reliable view of financial information. - Standardization and Compliance with tools to ensure that accounting practices and information integrity are always in line with applicable rules and regulations. - Access to Relevant Financial Insights with detailed financial analysis and customizable reports. - Security and Reliability that keeps your information protected and stored in accordance with the highest information security standards.
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Currently deployed by over 1,800 clients across the globe, Adra® by Trintech supports mid-market organizations looking to quickly the efficiency, control and visibility across all key areas of the financial close process including: balance sheet reconciliations (Adra Balancer), transaction matching (Adra Matcher), financial task management and controls (Adra Task Manager), and reporting (Adra Analytics).
With Finance Automation by Redwood, you automate over 90% of your financial close process, tackling essential areas like Close Checklist, Reconciliation and Certification, Journal Entry, Intercompany, Accruals, Provisions and Reclassifications. Extending beyond SAP ERP, this solution transforms your financial close into a streamlined, touchless operation.
Built to support the complexities of large enterprises, Cadency® by Trintech is the transformative reconciliation and financial close solution needed to drive efficiencies, mitigate risk and empower your F&A teams. From high volume transaction matching and streamlining daily operational reconciliations, to automating and managing balance sheet reconciliations, intercompany accounting, journal entries, close management tasks, to governance, risk and compliance, Cadency combines risk-based capabilities with process automation to enable F&A teams to focus on high-risk transactions or processes and provide insight to help drive continuous improvement.
Vena for Account Reconciliation accelerates implementation time by leveraging pre-configured solutions that apply best practices to your business process. With full integration to your data sources, you can produce accurate financial reports and automate your financial close process with Vena’s familiar Excel interface. Vena even integrates with your ERP and GL systems to include your sub-ledger data, like your Fixed Asset systems, so you spend less time compiling and consolidating data and more time reconciling and analyzing. Vena for Account Reconciliation comes pre-loaded with templates for specialized reconciliations like prepaid expenses, fixed assets, bank and cash accounts and bad debt. We even have a template to reconcile your GL to your sub-ledger for standard reconciliations like accounts receivables, payables, inventory and much more.