Reconciliation
Tax Reconciliation
Reconcile inter-company transactions, determine the tax filing status of each legal entity, calculate the tax due, and apply it to the trial balance in the ERP system.
Filling Up Tax Forms
Automate the input and completion of tax forms, which can be lengthy and complex. Ensure that all required attachments are included with the tax filings.
Bank Reconciliation
Reconcile transaction information and bank statements from various sources, including unstructured data from emails and bank websites, into comprehensive and meaningful reports for the business.
Intercompany Reconciliation
Automate the reconciliation of balances between different companies, identify exceptions, and send exception reports via email for review and approval.