Accounts Payable Automation
Transform invoice processing from manual data entry to automated workflows. We help firms capture invoices automatically, match them against purchase orders and receipts, route approvals intelligently, and generate payment files ready for your banking system. Most teams see processing time cut in half within the first month.
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Invoice capture and classification
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Three-way matching automation
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Approval routing workflows
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Payment file generation
General Ledger Reconciliation Automation
Stop spending entire days matching GL accounts manually. Our automation identifies and flags variances in minutes, maintains complete audit trails, and generates reconciliation reports that are ready for review. Your team focuses on investigation and analysis instead of data hunting.
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Account matching automation
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Exception identification and reporting
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Reconciliation documentation
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Audit trail generation
Bank Feed Processing and Categorization
Automatically receive bank transactions from multiple accounts and currencies, categorize them based on your GL structure, and reconcile them against your ledger. The entire process runs overnight, so your team starts each day with clean, categorized transactions ready for review.
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Multi-account and multi-currency support
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Automatic transaction categorization
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Bank-to-ledger reconciliation
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Exception flagging for manual review
Expense Report and Reimbursement Processing
Move from spreadsheet-based expense tracking to automated workflows. Capture receipts via email or mobile, categorize expenses automatically, validate against policy rules, and route for approval. Reimbursements process on a predictable schedule rather than sitting in someone's inbox.
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Receipt capture and OCR extraction
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Policy compliance validation
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Approval routing and tracking
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Reimbursement scheduling