Finance close agent for reconciliation and variance
Problem. Month-end close consumes analyst nights on reconciliations and commentary that reads differently every cycle, delaying reporting to the board.
Agent design. Agent reconciles subledger movements, drafts variance commentary grounded in transaction detail and prior narrative, and flags unexplained balances to a controller with a full audit trail.
Outcome. Analysts review and approve explanations rather than assembling them from spreadsheets.
Acts in. ERP / general ledger · Subledgers · Close workflow
