Reconciliation is repetitive
Teams compare the same feeds, reports, and adjustments by hand every reporting period.
Finance solutions
GSS can help finance and operations teams connect source data, approvals, reconciliations, and exception review so the work is easier to follow and problems surface earlier.
Where the friction lives
When evidence, approvals, and adjustments live in different places, the close becomes a search for what changed and who owns the next step.
Teams compare the same feeds, reports, and adjustments by hand every reporting period.
Reviewers chase attachments, explanations, and source records before they can make a decision.
Mismatches and missing evidence surface near deadlines instead of when the underlying event occurs.
Solution concepts
These are solution concepts, not off-the-shelf financial products. A real engagement begins with your workflow, systems, controls, and approval requirements.
Match transactions and source records, explain differences, and route unmatched items into an owned review queue.
Coordinate recurring close tasks, supporting evidence, review steps, and sign-off without relying on memory or scattered messages.
Capture, classify, validate, and route incoming financial documents while keeping uncertain items under human review.
A practical first move
We can map the source records, decision rules, reviewers, evidence, and failure paths, then shape a focused internal tool or integration around the way your team already works.