Bank Reconciliation
- Statement ingestion - Import from spreadsheet and parser-supported sources
- Smart matching strategies - Reference + amount + date, tolerance-based matching
- Exception workflow - Handle unmatched transactions systematically
Revenue/Cost Accrual
- Frequency-driven scheduling - Weekly to annual accrual periods
- Auto-derived end dates - Automatic period calculation
- Schedule preview - View per-period posting structure before execution
Chart of Accounts
- Enterprise hierarchy - Multi-level financial classification
- Account-level governance - Journaling and transaction-derived GL impact
DNA Parsing Engine
- Bank reconciliation and statement processing
- Automated data extraction and matching









