Month-End Financial Reporting
Shapemybusiness offers an intuitive workflow that ensures quality, accountability, and timely reporting of the financial close at period-end.
To accurately present an organization’s true financial position to both internal and external stakeholders, balance sheet reconciliation must be precise and timely. By automating this traditionally manual, detail-intensive, and poorly coordinated process, Shapemybusiness® brings a transformative change, significantly enhancing control and efficiency at period-end.

Our Business Objective
Balance sheet account reconciliation encompasses various elements, such as accurate account balances, calculated assets, shareholder equity, and outstanding liabilities. Automating the substantiation, review, and approval of this data in an auditable environment enhances control and sustainability.
With Shapemybusiness’s task and workflow management capabilities, your team can concentrate on investigations, resolutions, reporting, and providing advice, rather than spending time compiling financial data.