Function · Finance

Books that close themselves.

Reconciliation, GST filing, AP/AR, and books closure with audit-grade trail. Built for finance teams that need accuracy at speed.

Day-0

Month-end close on day three. No more cliff-edge quarter-ends or weekend recon.

₹0.0

Forty-two paise per reconciled record. Audit-grade accuracy at fractional cost.

CARO-ready

Every action signed, sealed, and chained. CARO, Companies Act, RBI formats included.

Workflows

Three production workflows.

Pick one to pilot. Add the others once the first is live.

Bank recon · Aug 2026
98.4%
MATCHED 8,442
EXCEPT. 138
PENDING 12
  • Vendor, bank, and intercompany reconciliations with exception management.

    • Vendor, bank, intercompany matched
    • Exception management with rationale
    • Tolerance bands respect your policy
  • GSTR-3B prep, ITC matching, and TDS handling end-to-end.

    • GSTR-3B prep auto-drafted
    • ITC matching across periods
    • TDS handling end-to-end
  • Day-3 month-end close with audit-ready trail.

    • Day-3 close on every month
    • Audit trail attached to every entry
    • Variance analysis auto-generated

Bring the workflow your team dreads. We'll show the agent.

30-minute scoping with an architect who's deployed Finance agents before. Your stack, your data, your edge cases.

Talk to us