Streamline and Digitize Your Reconciliation Process
An advanced and effective transaction matching software that supports automatic reconciliation of any kind of data. All forms of financial and operational reconciliations are supported, and focus can be directed exclusively to exceptions to efficiently ensure the accuracy of data.
Balance sheet account reconciliation during the financial close with standardized substantiation template. The streamlined workflow and detailed audit trail give integrity to the reconciled balances.
Best of Breed Combination
Automatically Retrieve the Data Required for your Reconciliation Process
Reduce Reliance on Internal IT Resources
Seamless Connection
Remove the data silos between NetSuite and your financial close process and expedite the extraction of your account information. With the pre-built connectors Adra and Cadency can quickly automate and fill the gaps in the financial close process, that would otherwise require human intervention, and gain real-time visibility.
Superior Data Integrity
Provides on demand and scheduled data validation and checkpoints to ensure data accuracy and reliability.