Flexible, automated, journal entry creation.
Single or double-entry ledgers for accurate financial reporting & analysis.
Automate journal entry prep & posting.
See every payment, transaction & invoice that’s related to any specific journal entry or subledger, all in one place.
Real-time visibility
See everything related to customers, partners, & channels, including invoices & payments from open to closing balance.
Flexible subledgers
Apply subledgers by counterparty or line of business & see transactions by attributes like brand, geography, property, product line, and more.
Resolve customer queries
Enable customer and ops teams to independently resolve payment queries quickly and easily.
Audit-ready data
Immutable data ensures every change & every detail is captured for compliance and audit readiness.
Robust internal controls
Double-entry ledgers backed by built-in audit trails & robust internal controls ensure data is accurate & handled appropriately.
Built for scale
Create as many ledgers as you need from any data source, no matter how complex or high volume.
Integrated, streamlined reporting for finance & customer-facing teams.
Complex, high-volume data sources welcome. No R&D or IT required.
Compliant, accurate reporting with double or single-entry ledgers.
- Flexible ledgering: Maintain flexible single-entry ledgers for simplicity or double-entry ledgers for appropriate checks & balances.
- Detailed record keeping: Ensure the accuracy, completeness, and integrity of your financial statements and records by centralizing all of your transaction data in one place.
- Audit trails: Get out-of-the-box audit trails thanks to Ledge’s immutable transaction records.
Segment & filter your data by any dimension.
- Segment transaction data: Analyze performance by product line, region, buyer, seller, and more.
- Big picture & details: See aggregations for all transactions relevant to a specific sub ledger or drill down and see every related payment, transaction, & invoice.
- See all activity & balances: Both current and historic, from opening to closing balance. Filter by counterparty, line or business, or specific transactions & segment by dimension such as advertiser, brand, region, property, or whatever is relevant to your business.
Reduce support tickets & respond faster.
- Empower support teams: Enable customer-facing & operations teams to swiftly resolve payment queries independently.
- Real-time visibility: No need for investigations when you can see all activity related to customers, partners, or channels, including all invoices and payments against them, from open to closing balance.
- Faster response times: With all the data they need at their fingertips, team members can resolve payment queries instantly.
Audit-ready data, always.
Continuous audit preparation
Every transaction is fully documented, retained, & stored with our Immutable Data Audit Trail.
End-to-end transaction log
Trace the entirety of any transaction, with every change captured, right up to it landing in an account.
Stress-free sampling
No need to painstakingly piece together transaction journeys for audit samples; it’s all done for you.
100% transparency
Ledge gives you audit trails for data from reports to source, all wrapped up in our friendly UI.
Get flexible, accessible ledgers with Ledge.
With real-time data for real-time decisions.
We’re here to help get you started as fast as possible. Zero R&D or IT help required.