• General Ledger, Accounts Payable, and Accounts Receivable automation
• Multi entity, multi currency, and consolidation support
• Chart of accounts and financial dimension design
• Period close and financial controls
• Statutory and regulatory reporting readiness
• Audit trails and compliance controls
• Tax and withholding configuration
• Support for IFRS and local accounting standards
• Fee based revenue accounting
• Accruals, deferrals, and amortization
• Interest income and expense tracking
• Automated revenue recognition
• Operational expense tracking
• Cost allocation and management accounting
• Budgeting and cost control
• Variance analysis
• Bank account and cash management
• Bank reconciliation and statement processing
• Payment processing and controls
• Cash flow visibility
• Approval workflows and segregation of duties
• Financial controls and policy enforcement
• Audit and compliance readiness
• Monitoring and exception handling
• Financial statements and management reports
• Regulatory and compliance reporting
• Profitability and performance analytics
• Integration with Power BI
• Integration with core banking or financial platforms
• Automated data ingestion and validation
• API and data entity based integrations
• Power Platform based workflow automation
• Rapid implementation using standard capabilities
• Minimal and controlled extensions
• Data migration and reconciliation
• Go live, hypercare, and managed support