Finance

Streamline finance workflows: journal entries, reconciliation, financial statements, and variance analysis.

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Finance supports month-end close, journal entry preparation, account reconciliation, financial statement generation, variance analysis, and SOX audit workflows. It assists with the full close cycle from booking accruals to generating the P&L.

Use /journal-entry to prepare accruals, fixed asset entries, prepaids, and payroll with proper debits/credits. Use /reconciliation to compare GL balances to subledger, bank, or third-party balances and identify reconciling items.

Generate income statements with period-over-period comparison via /income-statement, decompose variances into drivers with waterfall analysis using /variance-analysis, and create SOX compliance testing workpapers with /sox-testing.

Connect your ERP, data warehouse, and spreadsheet tools via MCP for direct data access, or paste data and upload files for analysis. All outputs should be reviewed by qualified financial professionals before use in reporting or filings.