Balance Sheet Reconciliation
Automate inventory reconciliation by comparing data between inventory systems and GL inventory records.
Sync general ledger data directly from your ERP system.
Sync data from your Inventory management system directly.
Auto-discover matching rules for bank and cash GL data alignment.
Automate the journal preparation for adjustmenting inventory discrepancies.
Automate journal posting to the ERP after approval.
Map rows of data across different tables based on a common key value.