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Home / General Ledger & Financial Close / Close Coordination & Account Substantiation / Balance Sheet Account Reconciliation
Month-End Close Manager
Month-End Close Manager €59.99
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Subledger & General Ledger Reconciliation
Subledger & General Ledger Reconciliation €39.99

Balance Sheet Account Reconciliation

€39.99

Substantiate balance sheet accounts with supporting detail and a documented review. This application is designed to connect ledger balances, reconciliation schedules and open differences so account sign-off reflects the evidence actually examined. 12-month software licence purchased with a one-time payment. The purchase covers the stated licence term and does not create an automatically renewing subscription.

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SKU: GMT-125 Category: Close Coordination & Account Substantiation
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Description

Substantiate balance sheet accounts with supporting detail and a documented review. This application is designed to connect ledger balances, reconciliation schedules and open differences so account sign-off reflects the evidence actually examined.

Best suited to

Finance teams reconciling balance sheet accounts at period end.

What you can manage

  • Record the account balance being substantiated.
  • Associate detailed schedules supporting the recorded amount.
  • Identify differences between the ledger and supporting evidence.
  • Record the preparer's completion of the reconciliation.
  • Maintain the reviewer's decision and outstanding questions.

A practical workflow

Compare the account balance with its supporting detail and explain each difference. Resolve or document open items, then submit the reconciliation for review before the account is treated as substantiated.

Why this workflow matters

A completed close is supported by more than a final total. The team needs to understand which records were reviewed, how outstanding differences were treated and which version represents the accepted position. Organising this context helps subsequent reviewers follow the account explanation without reconstructing the entire closing exercise.

Working with your records

Select the correct accounting period and keep supporting calculations available for the proposed treatment. Review entries and balances under the accounting policies adopted by the business before they become part of its reporting records. The application supplies a working process and calculation support; professional accounting judgement remains with the responsible reviewer.

Licence

12-month software licence purchased with a one-time payment. The purchase covers the stated licence term and does not create an automatically renewing subscription.

Additional information
Licence term12 months
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