Everything your ERP doesn't do

Finance control, module by module.

Each capability works on top of your existing Xero, QuickBooks or Sage ledger, from a CSV/XLSX export — no migration.

Cash flow forecasting

A 13-week cash flow forecast that rebuilds on demand.

Rolling weekly visibility of receipts, payables and recurring outflows — pulled straight from your ledger, not rebuilt in a spreadsheet every Monday.

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Month-end close

Close the books in days, not weeks.

A live close checklist, balance-sheet reconciliations and anomaly detection — so nothing slips and everything has an audit trail.

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Board reporting

Your board pack, built in the time it takes to read one.

Monthly P&L, balance sheet, cash-flow statement and editable commentary — generated from your ledger and ready to send.

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Supplier savings

Find real savings in what you already buy.

We read your invoice lines — the actual products and unit prices — and surface where a different supplier sells the same thing for less. Every saving traces to a real line.

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Agentic copilot

A finance copilot that reads your ledger — not the internet.

Ask about cash, debtors, margins or a specific transaction and get an answer grounded in your actual data, with citations you can click through to verify.

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Reconcile Mode

Reconcile a bank statement in one pass, and see exactly what to correct.

Upload the statement the bank sent you and the nominal ledger you keep. Every line is matched, every difference is named, and each one comes with the correction to make in your system — the right nominal code, the right wording, the missing posting.

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Audit packs

Ask for one document. Build the audit pack from it.

Pick the auditor's request and this says the smallest thing to ask the client for — usually the bank statement PDF and nothing else — then builds the working paper from it against the ledger you already hold.

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