Modern Accounting Automation
For Enterprise Finance Teams
Ledgico transforms complex accounting workflows into a streamlined, error-free financial process. Built for CFOs, controllers, and corporate accounting departments, our platform automates month-end close, continuously reconciles general ledger accounts, and enforces real-time financial controls across all your corporate entities.
Designed for Corporate Controllers & Finance Leadership
Streamline month-end closing, eliminate manual accounting spreadsheets, and protect general ledger integrity.
Audit Compliance & Immutable Ledger Integrity
Enforce strict internal controls, complete audit trail logging, and schema-isolated data security across all corporate subsidiaries to guarantee SOX, GDPdU, and regulatory tax compliance.
Automated SAP General Ledger Posting
Directly post balanced debit and credit journal entries into SAP S/4HANA and ERP via automated BAPI validation, eliminating manual spreadsheet entry and month-end posting delays.
AI-Powered Financial Close Automation
Smart machine learning algorithms continuously audit trial balances, flag out-of-period entries, and automate accrual posting to accelerate month-end closing timelines.
Continuous Account & Intercompany Reconciliation
Automatically match high-volume GL transaction lines against bank feeds and balance intercompany subsidiary accounts to eliminate year-end variance surprises.
Accelerate Your Financial Close
Automate your general ledger postings, run account reconciliations, and review financial close status across all global subsidiaries in hours instead of weeks.
AI-Powered Journal Anomaly Detection
Smart algorithms continuously audit incoming journal entries before they hit your trial balance. Flag unexpected debit/credit variances, out-of-period postings, duplicate invoice numbers, and unmapped cost center codes automatically.
Continuous Month-End Close Streamlining
Replace traditional, manual period-end crunch time with continuous close automation. Generate trial balances, automate accrual entries, and track closing task status in real time across all global accounting teams.
Smart Account Reconciliation & Intercompany Balancing
Automate sub-ledger reconciliation across general ledger accounts, bank statements, and vendor sub-ledgers with intelligent matching algorithms that eliminate manual spreadsheet lookups.
Automatic General Ledger & Bank Reconciliation
Match high-volume transaction lines instantly with rule-based and AI-suggested transaction pairing.
Intercompany Ledger Balancing
Automatically compare and reconcile intercompany accounts between parent and subsidiary entities to eliminate year-end variance surprises.
About Ledgico
At Ledgico, our mission is to empower finance leadership with modern, error-free accounting operations. We help enterprise accounting departments accelerate month-end closing, enforce strict financial governance, automate account reconciliations, and achieve complete transparency across international subsidiaries.