Autonomous Financial Close — Multi-Entity Trading Group
Agent stack that handles intercompany reconciliation, bank matching, standard period-end postings, and business unit chasing across a multi-entity group — cutting month-end close from 10–12 days to 4 days.
The Challenge
A trading group operating four entities across the UAE and Saudi Arabia ran a 10–12 day close cycle. Finance staff spent most of it chasing inputs, reconciling intercompany balances manually, and running reports that any decent system could have run automatically. The CFO's question was: why are six qualified accountants spending this much time on data plumbing?
The Solution
Agent-orchestrated close pipeline: data collection agents pull balances and transactions from each subsidiary's system; a reconciliation agent identifies and traces intercompany mismatches; a posting agent runs standard period-end journals; a coordination agent chases outstanding submissions from cost centre owners; a exceptions agent surfaces anything requiring human judgment with full context. Close calendar visible to the whole finance team in real time.