Automatically consolidate all of your revenue transactions into a single, organized system ready for reconciliation, journal entry preparation, reporting, and more
Preparing raw transaction data through a series of spreadsheets, formulas, and data cleanup to reconcile payments and cash is an unnecessary headache. Leapfin does the heavy lifting of consolidating and transforming your transaction data into organized accounting data that’s always accessible and ready-to-go, resulting in easier reconciliation and smoother month-end close.
By automating data transformation, your team can eliminate the repetitive busywork of fixing transaction data every time you need to close the books.
Increase your team’s efficiency with accounting-ready data that automatically links payments, refunds, credits, and other transaction types to streamline the reconciliation process.
Drill into and explore your real-time revenue data to identify potential issues, generate performance reports, and analyze business trends over time.