Use case · Controlling & Close

Make every close difference explainable.

Controllers sit where AP, AR, audit, and compliance meet. cloudsquid investigates the breaks, anomalies, and evidence gaps that block the close or create risk.

A complete activity and evidence trail for a finance workflow

Where value leaks

Here, the leak is risk and time as much as cash.

Unexplained differences roll forward, suspicious activity hides inside the population, and audit evidence gets reconstructed after the fact. Full-population checks make every exception visible and explainable.

Learn why ledger checks miss AI-generated invoice fraud
Risk

suspicious postings and conflicts that rule-based reports do not explain

Time

close work blocked by unexplained reconciliation differences

Evidence

audit packages assembled from the source, not reconstructed later

Proof

Reviewing the full population changes what close can explain.

$50K

duplicate invoice surfaced

A US craft brewery · Cloudsquid customer result

$730K

in errors surfaced

A construction wholesaler · 90% less manual reconciliation · Cloudsquid customer result

< 2 hours

to audit a full year of AP

100% transaction coverage · Cloudsquid customer result

Use cases

Start with the work your team never gets through.

01

Account reconciliation & close

02

Anomaly and fraud monitoring

03

Audit package assembly

04

Report-to-report cross-checks

Which process would you hand over first?