From the first funding document to the final reconciled ledger, our services cover budget execution, system integration, end-user readiness, and the automation that keeps all three moving.
We work the full budget lifecycle — allocation through disbursement — and the reconciliation work that keeps financial statements audit-ready.
Funds allocation, execution tracking, and status-of-funds reporting throughout the budget lifecycle.
Month-end and year-end close processing, account reconciliation, and audit readiness support.
Transaction validation and variance identification, backed by clear documentation and internal controls.
End-to-end support across procurement, invoicing, and revenue processes, from request through resolution.
Interfaces break quietly. We monitor them, fix them, and build the reporting layer that tells leadership what's actually happening.
We treat AI and automation as tools for accuracy, not novelty — applied to the repetitive reconciliation and reporting work that eats analyst time.
Tell us what's breaking or what's coming up — sustainment, migration, training, or audit — and we'll scope it together.