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A high-density financial analytics dashboard featuring interactive charts, workspace switchers, nested workflows, and multi-tenant ledger balances.
Ledger overview
94%
reduction in close time
12
departments unified
Zero
manual exports needed
The client's finance team was managing ledger reconciliation across three spreadsheets, two legacy tools, and a shared inbox. Month-end close took four days and produced inconsistent numbers across departments.
We designed and built a multi-tenant financial operations platform with real-time ledger views, role-based access, and automated reconciliation workflows. The result replaced the spreadsheet stack entirely.
Month-end close reduced from 4 days to under 6 hours
Single source of truth across 12 departments
Role-based access with full audit trail
Real-time balance reconciliation with zero manual exports
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