Automate journal entries and ledger posting, close faster, conduct stress-free audits, and eliminate recognition and reconciliation errors with integrated end-to-end data and reporting.
Close continuously with real-time, comprehensive transaction data
Close revenue as often as daily with a single source of truth for all your transactions.
Integrate all of your operational systems, so you can view all your transactions and each transaction’s journey in one place.
Report accurate, fully-reconciled compliant financials
Layer revenue logic on top of transaction entries to auto-generate journal and ledger entries.
Reconcile continuously without manual effort or wonky accounting.
Conduct stress-free audits with full data lineage from subledger to original transaction source
Easily trace subledger records to individual transactions and walk each aspect of each transaction to its source system.
Maintain full data lineage and showcase the logic applied to each transaction to provide transparency to auditors. Free your team from reconstructing historical financial reports and trying to find the data that went into them.
Spot issues faster with match reporting
Want to see if specific customers have paid their invoices in the appropriate timeframe?
Run match reports to see which payments you have outstanding to identify customers you need to follow up with quickly to make sure they do so according to agreed-upon terms.
Seamlessly integrate with your ERP and operational tools
Manage transaction data, journal entries, and your subledger in one place. Integrate with any operational system – PSP, OMS, billing system, CRM, mobile apps – and your preferred ERP like NetSuite and SAP through our native integrations and APIs.
Leapfin is flexible, easy, and allows us to refocus our engineering and accounting resources on activities that will bring the company value.
Joe Blanchett Senior Product Manager of Finance Systems @ SeatGeek