Platform Capabilities

Automated Financial Reconciliation and Account Close — One Configurable Platform

Most finance teams manage reconciliation in one tool and close in another — or in spreadsheets. Novvl brings both together in one configurable platform — purpose-built to replace the spreadsheets and disconnected tools that slow your close.

Transaction Matching

Automatically match transactions across systems at scale — reducing manual effort and the time it takes to surface discrepancies.

Account Reconciliation

Accelerate month-end close with automated account reconciliation, variance analysis, and exception management within a single workflow.

Account Close

Manage month-end close with more structure and visibility — coordinate close activities and track progress in real time, all on the same platform as reconciliation.

Exception Management

Identify, assign, and resolve unmatched transactions through structured workflows — every exception tracked, investigated, and closed.

Intercompany Accounting

Eliminate intercompany discrepancies with automated matching across multiple entities and subsidiaries, with controls for a more consistent close.

AI-Assisted Matching

Resolve complex reconciliations faster — AI identifies likely matches and surfaces them for your team to review, approve, or dismiss.

Reporting & Analytics

Real-time dashboards give finance teams visibility into exceptions, reconciliation status, and month-end close performance.

Audit & Compliance

Satisfy internal and external auditors with a complete, timestamped record of every reconciliation decision, approval, and exception resolution.

Ready to eliminate manual reconciliation from your close process?

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