Intercompany reconciliations are an essential procedure for ensuring the accuracy and reliability of consolidated financial statements. This process involves meticulously verifying and aligning transactions between different subsidiaries or entities within a corporate group.
For large multinationals with extensive intercompany transactions, relying on manual spreadsheets is a high-risk proposition. The volume and complexity of these transactions often pose a significant challenge, making it difficult to ensure accurate identification, elimination, and documentation for auditors.
Are you considering financial consolidation system?
A better approach to Intercompany Reconciliations
Key features of enterprise-class software
Reporting on Intercompany activity