Service

Financial Reporting System Design

Reports are outputs. Systems are assets.


What it is

We design and build the data architecture, reconciliation engines, and production workflows that generate financial reports for boards, audit committees, regulators, and external partners. The focus is on the system: automated data ingestion, validated calculations, clear audit trails, and outputs that can be reproduced on demand. Not just a report, but a repeatable process for generating it reliably.

Who it is for

  • Organisations preparing for IPO, merger, or major capital event
  • Public-sector bodies with strict transparency and audit requirements
  • Leadership teams that have outgrown spreadsheet-based financial reporting
  • Operations where provider reconciliation and claims validation are critical
Deliverables

What you get

  • General-ledger integration and automated subledger reconciliation
  • Structured reporting packs with standardised formats and sign-off workflows
  • Drill-down from summary figures to underlying transactions
  • Fraud-detection patterning and anomalous-transaction flagging
  • Documentation that satisfies both internal audit and external reviewers
The outcome

How this transforms your business

Your finance function shifts from manual reconstruction to automated production. When the board or auditor asks a question, the answer is one click away.

Related work

Case studies

Can your finance team reproduce every number in under five minutes?

We build the reconciliation engines, audit trails, and automated workflows behind truly defensible financial reporting.