For Finance Leaders & CFOs — Agentic AI that does the work. See how it works →
Build
Buy

Finance leaders — for your entire team

Enterprise Ready AI Augmentation for Finance.

A suite of AI agents and workflows that streamline reconciliation, month-end close, and high-volume finance work end-to-end — inside your controls, with a full audit trail. Buy it turnkey, or build on our agentic and API infrastructure.

230+
Chains reconciled
1,000+
Data sources
SOC 1 & 2
Type I attested · Type II in progress
Scroll
Trusted by finance & accounting teams at
The Technology

A suite of AI agents built for finance operations.

Finacode is not a unified ledger. It is a combination of AI agents, each built for a specific finance-ops job — reconciliation, close, controls — sharing the same infrastructure and audit trail. Built by the team that built back-office operations software for digital assets — the hardest data in finance.

01

AI that does the work

Finacode agents run in the background, executing finance workflows end-to-end and surfacing your team at key control stages. Finished output arrives ready for review — at the quality of an experienced accountant.

Recon · Bank ↔ GL
4.2M transactions reconciledauto · 41s
Auto
29 breaks classifiedtiming · FX · fees
Auto
3 → controller reviewcontrol checkpoint
Ctrl
02

Works inside your controls

Finacode conforms to your org's standards — chart of accounts, thresholds, approvers. It never moves money or posts above threshold on its own.

Controls · enforced in-flow
Approval thresholdsper entity
On
Segregation of dutiesenforced
On
Immutable audit trailSOC-ready
Logged
03

Doers become reviewers

When agents handle execution, your team shifts from doing to reviewing — managing AI, applying judgment, advising the business. Better output, fewer cycles, higher-value work.

−86%
manual hours on recon
04

Do more with less

Rising volume, tightening margins, not enough experienced hands. Finacode lets your team handle more without adding headcount and close faster every cycle.

8 → 3
days to close
What the agents do

Built for the work that
eats your team's time.

Reconcile millions of rows a night

Match bank, card, intercompany, and sub-ledger activity at scale. Every break is classified by root cause with the adjusting entry drafted and evidenced.

  • Auto-match with FX and timing tolerance
  • Breaks classified by root cause
  • Adjusting entries drafted with supporting evidence
recon.run
4,218,904 matched99.3%
29 breaks classifiedautoAuto
3 → controller reviewCtrl

Close days earlier, every cycle

Run the close checklist end to end — accruals, tie-outs, intercompany eliminations, and flux commentary — so your controller signs a complete, evidenced close.

  • Accruals and tie-outs drafted
  • Flux commentary with evidence
  • Checklist tracked across entities
close · day 2 of 5
Accruals draftedDone
Flux commentary writtenDone
Controller sign-offReview

Clear the backlog without new hires

High-throughput AP, AR, and cash application. Finacode clears the routine majority and routes only true exceptions to a person.

  • Invoice capture, coding, 3-way match
  • Cash application and collections
  • Exceptions routed with evidence
ap.queue
Invoice coded to GLAuto
3-way match: PO ✓Auto
Variance → reviewCtrl

Audit-ready, continuously

Every action runs inside your control framework and leaves a continuous, tamper-evident trail — so auditors pull SOC-ready evidence on demand.

  • Approval thresholds & SoD enforced
  • Every action logged with evidence
  • SOC 1 / SOC 2 evidence on demand
audit.trail
Immutable logSOC
Evidence attachedAll
SoD verifiedPass
Connectors & data

Finacode lives inside
your finance stack.

Every finance org is a stack: raw data at the bottom, the software that records it in the middle, and finance operations on top. Finacode injects AI agents into every layer.

Layer 03 · Top
Finance operations
The work your team owns
ReconciliationMonth-end closeControls & auditFlux & reporting
Layer 02 · Middle
Software — ERPs & GL
Systems of record
NetSuiteSAPQuickBooksXeroCampfireRillet
Layer 01 · Bottom
Data
Raw sources of record
Bank feedsCards & processorsBlockchainsSub-ledgersFiles & EDI
Finacode
One suite of AI agents — injected into every layer
The data layer problem

The problem isn't the AI.
It's what goes into it.

Every NetSuite customer configures their fields differently. Every acquired entity names its cost centres differently. Every payment processor exports in a different format. The same underlying software produces completely different data underneath — and AI can only be as reliable as the data it's trained and operating on.

Finance teams that have deployed AI and been disappointed usually find the same root cause: the models were capable, but the data wasn't clean, consistent, or structured enough for the AI to act on confidently. Fixing the data layer is the hard, unglamorous work that makes everything else possible.

Where Finacode fits

Finance-native.
Not general-purpose.

Integration platforms like Boomi and Workato solve data movement between systems — connecting applications, automating workflows, and orchestrating processes across an enterprise. They are powerful, widely deployed, and genuinely useful. But they are horizontal tools: they move data without understanding what that data means in a finance context.

Finacode is purpose-built for financial data. The normalisation logic understands journal entries, break types, cost allocations, and chart-of-accounts structures. The reconciliation engine knows the difference between a timing break, an FX break, and a genuine error. The audit trail is structured for what an auditor actually needs to see — not just a log of events.

General integration platforms get the data moving. Finacode gets the data right for finance.

Boomi / Workato

General-purpose integration and workflow orchestration. Connect applications, move data, automate processes — across any industry. Powerful horizontal infrastructure; finance is one of many use cases, without native accounting logic.

ERP-native AI

AI built into a single ERP's data model. Strong within one system, but can't reconcile across multiple ERPs, external sources, or the data that lives entirely outside the ERP — which is often most of it.

Finacode

Finance-native data and reconciliation layer. Normalises 1,000+ sources with accounting logic built in — break classification, audit-ready evidence, multi-ERP posting. Designed specifically for the data problems finance teams face.

How it works

One clean layer
under everything.

Your agents shouldn't have to understand every system's quirks. Finacode reads from all your sources — including your existing ERPs — and resolves them into one consistent foundation. The agents then work on that, not on raw, mismatched source data. It's why the same reconciliation works whether the data came from a bank, a processor, or a blockchain.

01

Read everything

Connect to every source your finance team touches — banks, processors, payroll, billing, 230+ blockchains, and the ERPs you already run. Your ERP is a source, not a silo.

02

Resolve to one foundation

Every source — no matter how it's structured — is brought into a single, consistent picture mapped to your chart of accounts. The messy differences between systems are handled here, once.

03

Run the agents

Reconciliation, close, and high-volume work run on the clean foundation — not raw source data. One agent works across every source, because by the time it sees the data, it's consistent.

04

Post back, with a trail

Clean journal entries post into each ERP in its native format — through your approval workflow, with an immutable audit trail on every transaction. Exceptions route to a person.

What runs on top

Reconciliation

The engine. Continuously match across bank, GL, sub-ledger, processor, and chain — at any volume.

Month-end close

Built on reconciliation. Accruals, tie-outs, eliminations, and flux — so the close gets faster every cycle.

High-volume processing

AP, AR, and cash application — clear the routine majority, route only true exceptions to a person.

Clean data for FP&A

Reconciled, structured actuals — so your planning team starts from numbers they trust, not exports they stitch together.

Finacode reconciles and posts; it feeds clean actuals into your planning tools rather than replacing them.

The compounding advantage

Gets sharper
every close.

Nearly a decade of reconciliation corrections, controller confirmations, and break classifications — across thousands of entities, data sources, and transaction types. That proprietary dataset is what trains our matching logic — accumulated through years of production reconciliation across some of the most complex financial data environments in the market.

Every break your controller resolves, every vendor they recognise, every timing rule they confirm — it feeds back into the model for your organisation specifically. The longer you run Finacode, the more precisely it reflects your organisation's logic — and the more your team can focus on judgment rather than execution.

Day one
94%
auto-match rate
3 months
97.4%
auto-match rate
6 months
99.1%
auto-match rate
Underlying dataset
~10 yrs
of correction data
Illustrative progression based on typical onboarding. Actual rates vary by source complexity and entity configuration.

We inject into your stack.
You stay in control.

Finacode is not an ERP. It is not a month-end close tool trying to replace your system of record. It is a platform that injects into whatever you already run — reading from your sources, reconciling across your entities, posting back into the ERPs you already use — while you control exactly how the data flows and who approves what.

Platform-neutral

Works across every ERP you run

NetSuite for one entity, SAP for another, QuickBooks for an acquisition — we reconcile across all of them and post clean entries into each. The system that owns your data doesn't change. We work underneath it.

You own the controls

Your thresholds. Your approvers. Your rules.

Finacode never moves money or posts above threshold without sign-off. Every approval gate, every SoD rule, every review workflow is configured by your team. We execute — you govern.

No rip-and-replace

Inject in days, not months

We connect to your existing sources, map to your existing chart of accounts, and have agents running your first reconciliation within days. Your ERP stays. Your processes stay. The manual work goes.

Put Finacode
to work.

See the agents run on your own reconciliation or close — inside your controls, with your data, in a 30-minute working session.

In the tradition of Luca Pacioli, who gave the world double-entry bookkeeping in 1494 — rigour in service of commerce.

About Finacode

We reconciled the hardest data
in finance.

Our team built back-office operations software for digital assets — the most fragmented, highest-volume data problem in finance. We're bringing that discipline to enterprise finance broadly.

Our team spent years building back-office operations software for the hardest segment in finance: digital assets. Fragmented across hundreds of chains and thousands of sources, with no shared standard.

We built the engine that normalised it — pulling from 230+ chains and 1,000+ data sources, and posting clean, defensible numbers into the ERPs enterprises already run: NetSuite, SAP, QuickBooks, Xero.

Along the way we learned: the hardest part of finance operations isn't the accounting. It's the data, and the volume. That's true far beyond digital assets.

Finacode brings that capability to enterprise finance broadly — as a combination of AI agents that do high-volume work inside enterprise controls. AI handles the grind, your team owns the judgment, every action lands in an audit-ready trail.

We also believe the best finance AI won't be purely automated. The winners will balance AI execution with real human judgement, service, and accountability. We stay close to our clients — not just at onboarding, but when the edge cases hit and the auditors ask the hard questions.

2017
Founded
1,000+
Data sources
230+
Chains reconciled
SOC 1 & 2
Type I · Type II in progress
01

Augment, don't replace

AI takes the repetitive volume. People keep the judgment, the approvals, and the accountability.

02

Auditable or it didn't happen

Every action carries its evidence and reasoning. If an auditor can't trace it, we haven't finished.

03

Compliance is the foundation

Controls aren't a feature we add later. They're the floor the whole product is built on.

The same team,
a much bigger problem.

Want to see where we're taking enterprise finance? Talk to us — real people, quick responses, no runaround.

Get in touch →
Security & Compliance

Compliant by design,
not by paperwork.

Finacode holds SOC 1 Type I and SOC 2 Type I. Type II observation periods for both SOC 1 and SOC 2 are underway, targeting completion in 2026. ISO 27001 and GDPR in progress. Reports available under NDA.

Attestations

Four independent attestations,
each kept current.

SOC 1
Type I · Attested  |  Type II · Under Observation

Type I attested. Type II observation period underway — targeting completion 2026.

SOC 2
Type I · Attested  |  Type II · Under Observation

Type I attested. Type II observation period underway — targeting completion 2026.

ISO 27001
Pending

Information security management system implementation in progress. Certification expected 2025.

GDPR
Pending

Data handling and subject-rights framework in progress. EU customer data residency available.

AICPASOC AICPA SOC
SOC 2TYPE II SOC 2 · Type II
awsHosted on Hosted on AWS
PCICompliant PCI Compliant

Controls enforced in-flow

Approval thresholds and SoD evaluated on every action. Finacode never posts above threshold on its own.

Immutable audit trail

Every input, decision, and approval logged to a tamper-evident record. SOC-ready evidence on demand.

Encryption & access

Data encrypted in transit and at rest. SSO/SCIM, role-based access, least-privilege defaults.

Data residency & isolation

Regional data residency options and private deployment for regulated environments.

Need our reports for
vendor review?

SOC 1 Type I and SOC 2 Type I reports and our security questionnaire are available under NDA. Type II observation periods for both are underway for 2026.

Careers

Built by people who care about
getting the numbers right.

A small, senior team applying AI to the work finance teams dread. Hard data problems, real stakes, close to the customer.

How we work

Three things we
hire for.

01

Correctness is the product

In finance, "mostly right" is wrong. We sweat accuracy, evidence, and controls.

02

Ship close to the customer

Everyone talks to controllers and CFOs. The best ideas come from watching a real close.

03

Small team, high trust

Few people, broad ownership, little process. You own real surface area from week one.

Open roles

There are no open positions
at this time.

We're a small team and hire deliberately. If you're exceptional and believe in what we're building, reach out anyway — we always read unsolicited applications from the right people.

Send us a note →

Interested in what
we're building?

Read about our technology or get in touch — we're always glad to meet exceptional people, even when we're not actively hiring.

Get in touch
Audit-Ready Data Sources

The data foundation
finance can rely on.

Cryptoworth — our data infrastructure layer — connects to 1,000+ sources across banks, blockchains, exchanges, and ERPs, and delivers the data in a clean, auditable form your agents and auditors can both trust. Below is the current coverage map.

Every source below is normalised to a consistent schema before it reaches your agents or your ERP. Transactions arrive classified, priced, and evidence-tagged — ready for reconciliation, ready for audit, on day one.

 Live  Coming soon  On request

Don't see your source? Request a source →

1,000+ sources,
one reconciled picture.

Whatever your finance stack looks like, the agents can read it, reconcile it, and post it back.

Get in touch →
Build · Agentic

Highly-trained agents
for your reconciliation.

For teams building their own finance-ops infrastructure. Our team works alongside yours to design, train, and deploy AI agents against your exact reconciliation and close workflows.

What we offer

Three ways we work
with your team.

Deployment

Implementation & onboarding

We embed with your finance and engineering teams to stand up agents against your exact stack — connecting your GL, ERPs, data sources, and approval workflows.

  • Custom connector build for bespoke sources
  • Chart-of-accounts mapping and rule config
  • Approval-flow and controls design
  • Hypercare through the first three live closes
Advisory

Finance-ops architecture

Former controllers and finance-ops leads who can map and prioritise your stack before a line of config is written.

  • Process mapping and bottleneck analysis
  • Automation roadmap, prioritised by ROI
  • Controls design for SOX / SOC readiness
  • Vendor evaluation if Finacode isn't the fit
Build

Custom agent development

Complex intercompany eliminations, multi-currency consolidations, specialised regulatory reporting — we build to spec.

  • Scoped discovery and requirements workshop
  • Agent design and testing with your team
  • Custom data-transformation logic
  • Handoff with full documentation
Who this is for
01

Complex environments

Multi-entity, multi-currency, or highly regulated structures where standard config isn't enough.

02

Speed to value

Teams that want a live, evidenced close in weeks. We scope tightly and deploy incrementally.

03

Build capability, not dependency

We leave your team able to run and extend what we build. Full documentation, training, and a clean handoff.

Let's scope
what you need.

Tell us about your finance stack and what's slowing down your close. We'll come back with a clear scope and a realistic timeline.

Talk to us →
Build · API

Embed financial connectivity
into your own product.

For teams building their own finance infrastructure who need the underlying connections, not a finished product. One API to banks, neo-banks, and accounting systems — you build the workflow on top.

The API

One integration.
Every financial connection.

Instead of building and maintaining a dozen separate integrations — one per bank, one per accounting system — you integrate once with Finacode's API and get normalised, structured access to all of them. The same approach as Paragon, purpose-built for finance data.

Banks & neo-banks

Direct & aggregated feeds

Connect to traditional banks and modern neo-banks — balances, transactions, statements — through a single normalised schema.

RampBrexSWIFTPlaid
Accounting systems

Read & write to any ERP

Pull the chart of accounts, post journal entries, query balances — through one API instead of learning each system's quirks.

QuickBooksNetSuiteXeroSAP
Everything else

Processors, chains, files

Payment processors, 230+ blockchains, and file/EDI feeds — the same normalisation layer that powers Finacode's own product, exposed as an API.

Stripe230+ chainsCSV/EDI
What's in the API

Built for developers,
backed by finance-native logic.

Unified connection API

One auth flow, one schema, one webhook format — regardless of which bank, processor, or ERP is on the other end.

Normalised data model

Transactions, balances, and journal entries arrive in Finacode's finance-native schema — the same one that powers the reconciliation engine.

Webhooks & real-time sync

Get notified the moment a new transaction lands, a balance changes, or a connection needs re-auth — no polling required.

Managed auth & credentials

OAuth flows, credential storage, and token refresh handled for you — across every connector, so you're not maintaining auth logic per integration.

Sandbox & test connections

Build and test against realistic sandbox data before going live with real bank and ERP connections.

SOC-ready audit logging

Every API call and data access logged, so whatever you build on top inherits an audit trail from the ground up.

Start building
on the API.

Tell us what you're building and which connections you need. We'll get you sandbox access and API docs.

Want trained agents instead of raw API access? See .

Connectors

Works with the systems
you already run.

No rip-and-replace. The agents read your sources and post back into the systems your finance team already uses.

Don't see your system? Ask about a connector →

Bring Finacode to
your stack.

See the agents run on your own systems in a 30-minute working session.

Get in touch →
Buy · SaaS

The finance sub-ledger
built for AI.

Finacode's sub-ledger is available as a standalone SaaS product. Connect your data sources, configure your chart of accounts, and have AI agents running your reconciliation and close in days — not months.

The product

One product. Three things
it does for you.

Unlike traditional sub-ledgers that just store data, Finacode's sub-ledger comes with AI agents pre-built on top. You connect your sources, set your controls, and the agents run — reconciling, closing, and posting without hand-holding.

01 · Ingest

Connect every source

Pull from banks, ERPs, processors, blockchains, and file feeds in minutes using pre-built connectors. Data is normalised and validated on ingestion.

1,000+ sourcesReal-time feedsAuto-normalised
02 · Reconcile

AI runs the recon

Matching, break classification, adjusting entries — done automatically every night. Exceptions surface to your team with full context and a suggested resolution.

Auto-matchBreak classificationDraft entries
03 · Post

Clean entries to your ERP

Reconciled journal entries post directly into NetSuite, SAP, QuickBooks, or Xero — through your approval workflow, with the evidence attached to every line.

NetSuiteSAPQuickBooksXero
What's in the box

Everything you need to
run finance ops on AI.

AI reconciliation agents

Auto-match at any volume, break classification with root-cause analysis, adjusting entries drafted with supporting evidence — every night, automatically.

Month-end close agent

Accruals, tie-outs, intercompany eliminations, and flux commentary — run automatically so your controller signs a complete, evidenced close, not a to-do list.

Controls & approval workflows

Approval thresholds, SoD enforcement, and configurable review gates built in from day one. AI never posts above your threshold without sign-off.

Immutable audit trail

Every action — match, entry, approval — is logged with its reasoning and evidence. SOC 1 & SOC 2 Type I attested. Pull evidence for any auditor in seconds.

Pre-built ERP connectors

NetSuite, SAP, QuickBooks, Xero, Campfire, Rillet — connected out of the box. Entries post back into your existing chart of accounts, your existing workflows.

1,000+ data source connectors

Banks, cards, processors, payroll, billing systems, blockchains — 1,000+ pre-built connectors, with new ones added continuously. Custom sources on request.

Ready to get
started?

No long sales cycle. Connect your first data source and have the reconciliation agent running in days.

Talk to sales

Need something bespoke? Our team designs custom finance-ops infrastructure for teams where off-the-shelf isn't enough.

Buy · MCP Solutions

Superpower your AI agents
with Finacode MCP.

Model Context Protocol lets AI systems talk directly to your finance data and tools. Finacode builds custom MCP servers that give any AI agent — Claude, GPT, Cursor, your own — live, structured access to your financial stack.

What is MCP

The protocol that lets AI
work inside your systems.

MCP — Model Context Protocol — is an open standard that lets AI models connect to external data sources, tools, and APIs in a structured, secure way. Instead of copying data into a prompt, the AI queries your systems directly and acts on live information.

Finacode builds MCP servers purpose-built for finance — connecting your ERPs, GL tools, bank feeds, and reconciliation data to any AI model your team uses. The result: AI that knows your actual numbers, not a stale export.

How it works Finacode MCP layer
Your AI agent
Claude · GPT · Cursor
Any MCP-compatible model
Finacode MCP Server
Custom finance tools
Auth · controls · audit trail
Your finance stack
NetSuite · SAP · Banks
ERPs, GL, feeds, data
The AI never holds your data — it queries through the MCP server, which enforces your controls, logs every call, and returns only what the model is authorised to see.
What we build

Custom MCP servers built
for finance.

01

ERP & GL MCP Server

Give your AI agents live read/write access to your general ledger — with controls.

NetSuiteSAPQuickBooksXero

Instead of exporting a spreadsheet and pasting it into Claude, your AI queries your ERP directly through the MCP server — pulling trial balances, journal entries, open items, and vendor records in structured form.

The server enforces your access controls, so the model can only see what the requesting user is authorised to see. Every query is logged. Write operations require approval.

Query trial balance, P&L, balance sheet in natural language
Pull open invoices, vendor balances, aged debtors on demand
Draft and submit journal entries through approval workflows
Audit log on every read and write operation
02

Reconciliation MCP Server

Let AI agents query, run, and review reconciliation jobs directly.

Bank reconIntercompanySub-ledger

Your AI can ask "what's outstanding on the bank recon for entity X?" and get a live answer — matched items, unmatched items, break summary — without anyone pulling a report. It can trigger a new recon run, classify a break, and route it for review, all through natural language.

Built on Finacode's reconciliation engine, so it works across bank, card, intercompany, crypto, and sub-ledger — at any volume.

Query recon status across all entities in real time
Trigger reconciliation runs and get structured results back
Classify breaks and route exceptions to the right approver
Full audit trail on every agent action
03

Custom Finance MCP

Bespoke MCP servers for your specific finance workflows and data sources.

Any sourceAny workflowAny model

Not every finance workflow fits a standard template. We design and build custom MCP servers that expose the exact tools your AI agents need — whether that's your treasury management system, your procurement data, your crypto portfolio, or a proprietary internal data source.

Every custom MCP server ships with authentication, rate limiting, field-level access controls, and an immutable audit log — so you can give your AI agents real power without giving up oversight.

Scoped discovery: which tools does your AI actually need?
Tool design with finance-native schemas and validation
Hosted or self-hosted, with your security requirements
Works with Claude, GPT-4, Gemini, Cursor, and any MCP client
Why this matters

AI that works on your
actual numbers.

Most finance teams using AI today are copying data into prompts — exporting CSVs, pasting numbers, waiting for stale reports. MCP eliminates that. Your AI queries the source of truth directly and acts on it, with controls in place.

Live

Real-time data, not exports

The AI queries your ERP, bank, or recon engine directly. No CSV, no paste, no stale numbers from last Tuesday's export.

Controlled

Permissions enforced at the server

The MCP server enforces your access controls — the model only sees what it's authorised to see, and every action is logged.

Auditable

Every agent action is traceable

An immutable log of what the AI queried, what it received, and what it did — so your audit trail covers the AI, not just the humans.

Ready to superpower your
AI with Finacode MCP?

Tell us which AI model your team uses and which finance systems you want it to access. We'll scope an MCP server that's live in weeks.

Get in touch →
The Platform

One platform.
However your team works.

Finacode is the layer underneath everything — the data connections, the reconciliation logic, and the AI agents that both our Build and Buy customers run on. Whether your team builds on it or buys the finished product, it's the same foundation.

How it fits together

Two ways in.
One foundation underneath.

Some finance teams want a ready-to-use product they can turn on this quarter. Others have engineering resources and want to build their own workflows on top of reliable connections. Finacode supports both — because both are powered by the same underlying platform: the data connections, the normalisation, and the reconciliation intelligence.

For builders

Build on top

Trained agents your team configures for your exact reconciliation and close workflows, or raw API access to banks, neo-banks, and accounting systems — so you build the product, we handle the connections.

For finance teams

Buy, ready to run

A turnkey sub-ledger with AI agents already built in — connect your sources and the reconciliation, close, and posting just work. Or MCP servers that give your existing AI tools live access to your numbers.

What's underneath

The same foundation,
no matter how you use it.

You don't need to know how the plumbing works to trust the water. But in plain terms: every dollar that moves through Finacode — whether via our product or an API you've built on — passes through the same connections, the same normalisation, and the same controls.

1,000+

Data connections

Banks, processors, ERPs, and 230+ blockchains — already connected, already normalised.

SOC-ready

Controls & audit trail

Every action logged, every approval enforced — whether you're using the product or building on the API.

~10 yrs

Reconciliation intelligence

The matching and classification logic behind every agent, refined over years of production reconciliation.

Not sure which fits
your team?

Tell us how your team works and what you're trying to solve. We'll point you to the right starting place — build or buy.

Talk it through →
Plans & Pricing

Choose your
plan.

Purpose-built for how finance teams actually work — from raw data and APIs, to a fully managed sub-ledger. Buy the finished product, or build on the connections underneath.

Buy · Sub-ledger

Accounting-ready software.
Connect, reconcile, post.

Connect your sources, reconcile transactions, and push clean journal entries to your ERP.

Tier 1 · Business Starter

For growing teams closing their first books on Finacode

$300 /month
Billed monthly
Data & Connections
50 connections (banks, ERPs, sources)
50,000 transaction lines
ERP support (QuickBooks, Xero)
Single entity (multi-entity +$200/mo)
Access & Support
Up to 2 seats (+$50/seat)
1 external user
Standard ticketing + group office hours
Book a call →
Enterprise

Unlimited scale with advanced support and custom infrastructure

Custom
Tailored to entity count and volume
Everything in Tier 1
Unlimited entities, connections, transactions
Multi-ERP integration (NetSuite, SAP, and more)
API access · SSO · private hosting
Custom ERP integrations
Access & Support
Dedicated analyst + migration support
Private nodes · snapshots · 99.9% SLA
Unlimited seats & external users
Book a call →
Buy · Managed close

Sub-ledger + AI bookkeeping
assist.

For lean finance teams and firms that want the software plus a managed close, not just the tooling.

Business Assist

Managed close for lean finance teams

$1,500 /month
Software included, free
Sub-ledger platform + close assist
Monthly close package and reports
ERP push to QuickBooks and Xero
Dedicated analyst support
Book a call →
Enterprise Audit Assist

Managed accounting, close, and audit support for complex teams

From $5,000 /month
Tailored to entity count and volume
Everything in Business Assist
Multi-entity support
ERP integrations (NetSuite, SAP, and more)
Audit-readiness package + dedicated audit support
Book a call →
Build · API

Data access only.
Priced by volume.

Normalised financial data and connections, no accounting workflow required. For teams building their own product on top.

API Access

For teams that need clean, usable financial data in their existing workflows

From $499 /month
Up to 50,000 transactions/mo
50 connections (banks, neo-banks, ERPs)
Normalised data schema
CSV / JSON export
Webhooks & real-time sync
Book a call →
Enterprise Data

For high-volume teams with custom infrastructure and control requirements

Custom
Unlimited transactions
Everything in API Access
Private hosting + SSO
Dedicated support · 99.9% uptime SLA
Book a call →

All plans include unlimited wallets and users. Overages available on request.

Sandbox · Testing ground

Try it before you buy it

Test data accuracy on the platform before booking a demo. Single-entity license, 5 connections, 2,000 transaction lines, self-onboarding.

Get started →

Not sure which plan
fits your team?

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Digital Asset Solutions

AI augmentation for
digital asset finance.

We built our reconciliation engine on digital assets — the most fragmented, highest-volume data in finance. That depth now powers three dedicated solution areas for teams operating in the digital asset space.

Solution areas

Three areas where
we go deep.

01

Stablecoin Solutions

Payments · Treasury · Settlements

Stablecoins move at blockchain speed — millions of transactions, across dozens of chains, settling in seconds. Most finance teams are still reconciling them manually days later.

Finacode's agents ingest stablecoin flows in real time across USDC, USDT, PYUSD, and all major stablecoins on any chain, classify each transaction to your chart of accounts, and post clean journal entries into your ERP — automatically, with a tamper-evident audit trail per settlement.

USDC / USDT / PYUSD Real-time reconciliation Multi-chain settlement GL posting FX & fee classification Audit trail per tx
02

Custody Solutions

Custodians · Exchanges · Wallets

Custodians and asset managers holding digital assets on behalf of clients face a unique accounting problem: every custodian exports data differently, and reconciling positions across Fireblocks, Coinbase Prime, BitGo, and self-custody wallets is still largely manual.

Finacode connects to 80+ custodians and exchanges, normalises position and transaction data, and produces reconciled, cost-basis-tracked books — across FIFO, LIFO, and WAC — with mark-to-market valuations and audit-ready evidence per lot.

Fireblocks · Coinbase Prime · BitGo 80+ custodians & exchanges FIFO / LIFO / WAC Mark-to-market Position reconciliation Lot-level audit trail
03

Back-Office Technology Consulting

Strategy · Build · Integration

Most digital asset back-offices were assembled under pressure — a spreadsheet here, a custodian export there, a manual journal at month end. They work until they don't, and they break at the worst possible time: audit season.

Our team — who built back-office operations software for digital assets — works alongside yours to design and build the infrastructure from the ground up: data pipelines, reconciliation logic, ERP integration, controls, and the audit trail that makes your auditors confident. We leave you with a system you own, not a dependency you manage.

Back-office architecture ERP integration Data pipeline build Reconciliation design Controls & SoD Audit readiness
Who uses this

Built for every team working with
complex financial data.

Web3 natives

Foundations & protocols

Large token treasuries, grant programmes, validator rewards. Finacode handles the volume and produces the clean financials your community and auditors expect.

Token treasuryGrant accounting
Institutional

Investment managers & funds

Funds holding crypto alongside traditional assets. Cost-basis across FIFO/LIFO/WAC, mark-to-market, audit-ready position reports.

Cost-basisMark-to-market
Enterprise

Corporates with digital assets

Accepting crypto payments, holding BTC/ETH as treasury, or running token programmes. Finacode bridges on-chain data to your ERP without disrupting existing processes.

Treasury reportingERP posting
Expanding beyond crypto

AI startups & high-growth teams

AI startups have the same problem as digital asset companies: high transaction volume, fragmented data, fast-moving ops, and a finance team that can't keep up manually. Finacode scales with the business.

High-volume opsFragmented data
Why trust us with this

We built back-office software for digital assets
before it was a category.

Our team processed over 230 chains and 1,000+ data sources in production, for some of the largest foundations and enterprises in digital assets. We know where the edge cases are, because we've hit all of them.

230+
Chains in production
1,000+
Data sources connected
SOC 1 & 2
Type I attested
2017
In digital asset ops since

Ready to fix your digital
asset back-office?

Tell us what you're running today — stablecoins, custody, manual journals — and we'll come back with a clear picture of what's possible.

Get in touch →
Get In Touch.

Talk to us about your finance stack — we'll come back with a clear picture of what's possible.