Financial Consolidation

Top-side Adjustments

Automate topside journal entries and maintain audit trails for compliance.

Key Capabilities

Topside Entries

Topside Entries

Directly add audit, year-end, or pro forma adjustments for financial reporting.

Managerial Allocations

Managerial Allocations

Manage revenue and cost allocations based on headcount or allocation drivers.

Non-ERP Record for Adjustment

Non-ERP Record for Adjustment

Maintain a system of record for all non-ERP adjustments to ensure compliance.

400+ Enterprise Customers
Enterprise Customers
600+ Mid-Market Customers
Mid-Market Customers