Financial operations

Agents that perform the function of a financial operator, against output that reconciles or does not.

Roles
  • Close and reconciliation

    Matches and reconciles to a balancing figure.

  • Exception handling

    Works the exceptions rather than listing them.

01

Close and reconciliation

Month-end close, transaction matching and exception handling are monthly, laborious and verifiable. Correctness is not a matter of opinion: the reconciliation balances or it does not.

That property is why the discipline is safe to run autonomously. The check is arithmetic, and it is applied before anything leaves the system.

Engagement

  • Monthly close support
  • Standing reconciliation capability
Partnership

Bring a market. We run the discipline.

For operators and organisations deploying agents at scale. Not a hire. Not an enquiry.

partner@boutrig.com