An accounting-ops agent that reconciles payments against open orders, auto-books provably safe payments through a deterministic policy gate, and escalates exceptions to a human queue with audit trails.
Automates month-end close reconciliation tasks including bank statement matching, GL account reconciliation, intercompany balance checking, and close task tracking.
Let AI agents read, validate and acknowledge EDI documents. Parses raw X12 and EDIFACT interchanges into structured JSON, validates envelope integrity, produces plain-language summaries, and generates 997 Functional Acknowledgments.