- Transaction Categorization - Categorize customer bank transactions into revenue/expense categories and automatically reconcile bank transactions with revenue, payroll, and bill data. This ensures customers’ financial data is properly recorded in their general ledger.
- Accounting Reports - Surface real-time financial reports such as the profit and loss statement, balance sheet, or AR/AP aging summary.
Offering Accounting
Overview
Once you have imported your customers’ financial data into Layer, you can start offering them Layer’s full suite of accounting features within your platform. This includes: