Eliminate manual matching and accelerate reconciliation timelines.
Eliminate manual errors in journal entries and reconciliation.
Automatically track every transaction and exception for audit assurance.
Let your finance team focus on analysis, not reconciliation.
Standardize and scale your close process across multiple
units and geographies.
Adaequare delivers managed financial close and reconciliation services - automating your close
lifecycle from intercompany reconciliation to journal validation.
Automatically matches intercompany transactions and flag discrepancies in real time.
Use AI to reconcile inventory and asset data, including valuation and depreciation.
Create, validate, and post journal entries with minimal manual input.
Monitor close progress, statuses, and exceptions in one unified view.
Ensure complete traceability and compliance with automated alerts and logs.
Move from multi-week closures to real-time, automated period-end reporting.
Reduce reconciliation errors and ensure compliance from day one.
Free up finance teams from tedious, manual reconciliation tasks.
Monitor progress and resolve issues proactively from a central hub.