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Andmera

Accounting

Multi-Entity Accounting Reporting

Run the same reporting process across many companies while preserving entity-specific accounting policy and source data.

The work today

Run the same reporting process across many companies while preserving entity-specific accounting policy and source data.

A growing client portfolio creates more reporting cycles, more spreadsheets and more opportunities to mix up a company's rules or reporting period.

Who it is for
Accounting firms, outsourced finance teams and multi-company groups
Typical source data
Company ledgers · Entity accounting policies · Period datasets
Generated outputs
Company reports · Period comparisons · Group-level views where configured

The reporting workflow

  1. 1Select company and period
  2. 2Collect company sources
  3. 3Apply entity policy
  4. 4Run shared reporting workflow
  5. 5Validate entity results
  6. 6Review company reports
  7. 7Prepare group views where appropriate

Validation & controls

Validate each entity independently and align periods and mappings before preparing any group view. Company policies remain separate.

Human review

Assigned reviewers resolve each company's exceptions and approve its reports before results are used in a group-level workflow.

Every number has a source.

Every report retains the company, period, mapping and source record behind each figure.

Related report types

Supported output formats depend on the selected reporting workflow.

Related integrations

Your data already contains the report.

Give Andmera your data, rules and reporting objective. Let it handle the preparation, validation and investigation.