Trace Get started

Build the accounting workflow once.
Re-run it every period.

Every export, lookup, mapping, and accrual you rebuild by hand each period becomes one governed, no-code workflow — re-runnable on demand, with every journal entry balanced to the penny and traced to its source row. The month-end close is just the densest pile of them.

Book a demo →

One workflow, built visually — from raw export to posted journal

Build the logic once by connecting nodes, configuring dropdowns, and mapping GL treatment on a table — no code. The same accruals, allocations, reconciliations, and journal entries then re-run every period. The month-end close is just the densest pile of them.

Security & data control

Tenant isolation enforced at the server layer, row-level audit trails on every run, encryption in transit and at rest, and full CSV data portability.