Bank feeds & review queue
Daily transactions arrive deduplicated and stay under review until a person approves them.
Connect every bank and card account across every corporation. AscenAi codes each transaction into a real double-entry ledger, reconciles it to the statement, and keeps your income statement and balance sheet current to the minute.
Daily transactions arrive deduplicated and stay under review until a person approves them.
Suggested accounts with confidence scores and reasons; confirmed treatments become automatic rules.
Line-by-line statement matching, uncleared item tracking and printable reconciliation reports.
Group, corporation and location hierarchy with intercompany mirror-posting.
Income statement, balance sheet, trial balance and ledger drilldowns for any year.
Every brand in the group shares one desk in Kansas City, Missouri.