
Reconciliation Management
Gravity automates the account reconciliation process and provides complete visibility across the end-to-end financial close process. Gravity manages all types of reconciliations, including general ledger and balance sheet account, credit card, cash, bank or any other type of reconciliation. Reconciliations can be managed at the transaction, balance sheet or even consolidation level. With Gravity, you can standardize internal processes thereby decreasing the risk of errors and inaccuracies.
Close Management
Gravity provides a 100% cloud-based financial close solution that addresses all of the key processes surrounding the close-to-filing process, including: disclosure management, account reconciliation, tax provisions, XBRL submissions, and comprehensive internal controls over the financial close process. Gravity provides a set of industry leading capabilities to help the office of finance improve efficiencies, reduce risk, and ensure compliance within an ever tighter regulatory environment.
