Consolidate multiple client entities into group accounts with automatic eliminations and currency translation.
Bring together trial balances from multiple entities. Automatic elimination of intercompany transactions, balances, and unrealised profits.
Group Consolidation
Translate foreign subsidiary accounts at closing rate (balance sheet) and average rate (P&L). Track translation differences in equity.
Currency Translation
Generate consolidated P&L, balance sheet, and cash flow. Drill down from group totals to individual entity transactions.
Group Reports