Zum Inhalt springen

Case Studies

Finance automation portfolio demonstrations

Synthetic but realistic demonstrations of spreadsheet, reporting, reconciliation, and GL automation workflows.

AMEX Statement to QuickBooks GL Import

A repeatable finance workflow converts an AMEX statement export into a reviewer-ready QuickBooks journal. Vendor rules assign GL accounts, classes, and memos, while uncertain items are isolated before the journal is released.

View Case Study

Bank-to-GL Reconciliation Matcher

A reusable reconciliation model compares bank activity with posted general-ledger entries, applies configurable reference, date, and amount rules, and routes unresolved items into a reviewer-owned exception queue.

View Case Study

Budget vs. Actual Management Pack

An executive-ready FP&A pack combines monthly actuals and budget data, maps accounts to consistent management lines, calculates favorable and unfavorable variances, and presents decision-focused trends with visible source tie-outs.

View Case Study