Route reconciliation exceptions to the right owner automatically, by account, amount or counterparty. Fewer items in the shared queue, faster resolution.
Multi-entity consolidation now runs up to 3× faster on large ledgers, with intercompany eliminations computed as transactions land.
Generate a board-ready statement pack — P&L, balance sheet and cash flow — directly from your reconciled close, in one click.
Search the full audit trail by actor, account or date range, and export scoped evidence for auditors without leaving Ledger.
Ledger now flags likely duplicate charges across processors before they reach the close, with a one-tap merge or dismiss.
Resolved an edge case where SAML sessions could expire early for some identity providers. SSO sign-ins are now stable across all supported IdPs.
Choose EU data residency at the workspace level. Your ledger, audit trail and backups stay in-region.
Continuous matching latency reduced for high-volume accounts, so exceptions surface within seconds of a transaction clearing.
Trade month-end firefighting for quiet confidence. Start free, or bring a real close and see Ledger against it.