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Product

Accounting & Reconciliation

Live cash flow, automated rules, and reconciliation for firms that manage multiple entities.

See reconciliation guide

What you get: Cash flow & KPIs

P&L, balance sheet, and burn insights per tenant or portfolio.

What you get: Bank rules

Smart categorization and reconciliation with approval steps.

What you get: Audit ready

Immutable logs for every change plus exports for auditors.

Who it’s for

  • Controllers closing books across multiple entities
  • Accountants who need approvals and rule-based coding
  • Finance leads who need cross-tenant dashboards