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AI Accounting Services

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AI-ASSISTED ACCOUNTING DATA CONVERSION

Accounting Data Migration Services with Human-Reviewed Validation

Prepare, map, test and reconcile accounting records when moving from legacy systems, spreadsheets or ERP platforms into a client-approved target environment.

AI may assist with field matching, format normalization, duplicate detection and exception prioritization. Human reviewers validate source records, account mappings, dimensions, master data, balances, control totals and client-approved migration rules.

01

Source Data Assessed

Systems, entities, periods, files, volumes and known issues are documented.

02

Mappings and Templates Prepared

Accounts, dimensions, master data and fields are aligned to approved target rules.

03

Test Migration Validated

Sample loads, rejects, counts, totals and balances receive human review.

04

Client-Controlled Cutover

Production upload, system configuration and final approval remain with the client.

AI Accounting Services does not independently configure final accounting policy, approve opening balances, authorize system cutover or guarantee zero data loss.

CONTROLLED FINANCIAL DATA MIGRATION

Move Accounting Records Without Losing Source Traceability

Accounting migrations involve more than copying rows from one system to another. Historical balances, account structures, dimensions, master data, open transactions and reporting requirements must align with the target environment.

Our migration support model organizes source records, prepares approved mappings, builds target templates, supports test loads and reconciles approved source and target totals.

The client retains responsibility for backups, target-system configuration, accounting policy, tax-code decisions, user access, production cutover and final financial approval.

01

Migration Readiness

Systems, source quality, volumes and dependencies are assessed before conversion.

02

Approved Mapping Control

Accounts, fields and dimensions follow client-approved target structures.

03

Test Before Cutover

Controlled samples and batches reveal rejects and mapping issues.

04

Post-Migration Reconciliation

Counts, totals and balances are compared after migration.

ACCOUNTING DATA MIGRATION SERVICES INCLUDED

Structured Support From Source Assessment Through Reconciliation

The final scope depends on source systems, target platform, entities, periods, record volume, currencies, historical depth and client approval requirements.

01

Migration Readiness Assessment

Review source systems, target requirements, entities, periods, currencies, record volumes and known data issues.

02

Financial Data Inventory

Identify ledgers, transactions, balances, documents, master data, dimensions and historical records included in scope.

03

Source Data Extraction Support

Organize approved exports, reports, spreadsheets and source-system files for migration preparation.

04

Chart-of-Accounts Mapping

Prepare source-to-target account mappings using client-approved accounting structures and rules.

05

Master-Data Preparation

Prepare approved vendor, customer, item, project, location, department and account records.

06

Historical Transaction Conversion

Normalize selected historical transactions into approved target-system templates.

07

Opening-Balance Preparation

Prepare approved opening balances and supporting schedules for client review.

08

Import-Template Preparation

Populate target-system templates with validated fields, codes, dimensions and source references.

09

Test-Migration Support

Prepare test batches, reject reports, control totals and validation results before production cutover.

10

Post-Migration Reconciliation

Compare approved source totals, target totals, balances and record counts after migration.

COMMON ACCOUNTING DATA TYPES

Prepare Financial, Subledger and Master Data for the Target System

Not every source record must be migrated. The client approves historical depth, open-item treatment and target-system requirements.

01

General Ledger Data

Accounts, journals, trial balances, opening balances and approved historical activity.

02

Accounts Payable Data

Vendors, bills, credits, payments, terms and open payable balances.

03

Accounts Receivable Data

Customers, invoices, credits, receipts and open receivable balances.

04

Bank and Card Records

Accounts, statement balances, historical activity and selected reconciliation references.

05

Fixed-Asset Records

Asset identifiers, categories, dates, costs, disposals and approved accumulated balances.

06

Inventory and Item Data

Items, SKUs, categories, quantities, costs and approved source references.

07

Payroll Accounting Data

Approved payroll summaries, liabilities, expense allocations and journal records.

08

Dimensions and Master Data

Entities, locations, departments, projects, cost centers, vendors and customers.

ACCOUNTING DATA MIGRATION WORKFLOW

From Legacy Source Records to Reconciled Target Data

Each stage follows approved source exports, target templates, mappings, test criteria, access permissions and client responsibilities.

01

Scope and Systems Confirmed

Source systems, target platform, entities, periods, currencies and migration objectives are documented.

02

Data Inventory Completed

Required records, fields, volumes, dependencies, documents and known gaps are identified.

03

Source Data Extracted

Approved exports and reports are collected from client-owned systems and files.

04

Data Standardized and Mapped

Formats, fields, accounts, dimensions and master-data codes are aligned to approved target rules.

05

Test Files Prepared

Controlled samples or batches are created for target-system testing and review.

06

Human Validation Performed

Reviewers check mappings, totals, dates, balances, master data, duplicates and exceptions.

07

Client Approval and Cutover

The client approves mappings, balances, system settings, cutover timing and production upload.

08

Post-Migration Reconciliation

Source and target records are compared, exceptions are tracked and final review packages are prepared.

SOURCE-TO-TARGET MAPPING

Translate Legacy Structures Into Approved Target-System Fields

Mapping work connects source accounts, codes, dimensions and identifiers to the target system’s required structure.

Final chart-of-accounts, tax-code, entity and reporting decisions remain with the client and its authorized professionals.

Explore Accounting Data Validation β†’
01Source account to target account
02Source entity to target entity
03Department and cost-center codes
04Project, job and location codes
05Vendor and customer identifiers
06Item, SKU and product identifiers
07Currency and exchange-rate context
08Tax codes only when client-approved
09Document and transaction references
10Historical period and opening-balance treatment
AI ASSISTANCE AND HUMAN MIGRATION REVIEW

Technology Supports Mappingβ€”People Validate the Financial Record

AI-generated field matches, duplicate alerts and mapping suggestions remain subject to human review.

AI MAY ASSIST

Data Preparation and Matching

  • Field and column matching
  • Format normalization
  • Duplicate-record detection
  • Account-mapping suggestions
  • Missing-field alerts
  • Exception prioritization
HUMAN REVIEW

Validation and Reconciliation

  • Source and target field review
  • Account and dimension validation
  • Master-data reference checks
  • Opening-balance validation
  • Record-count and total checks
  • Reject and exception tracking
CLIENT AND PROFESSIONALS

Configuration and Approval

  • Approve target chart of accounts
  • Approve tax-code treatment
  • Approve opening balances
  • Configure target-system rules
  • Authorize production cutover
  • Approve final migrated records
TEST MIGRATION AND CUTOVER SUPPORT

Validate Controlled Samples Before Production Migration

Test migrations help reveal missing fields, rejected rows, unsupported values, incorrect mappings and system-configuration dependencies.

The client controls target-system configuration, production credentials, period locks and final cutover authorization.

Explore Quality Controls β†’
01

Sample or Batch Selection

Prepare controlled records covering key transaction and master-data scenarios.

02

Target Import Testing

Load or stage approved test files under client-authorized conditions.

03

Reject and Error Review

Document rejected rows, invalid values and configuration dependencies.

04

Client Approval Gate

Obtain approval for mappings, fixes and production-cutover readiness.

OPENING BALANCES AND HISTORICAL DATA

Define What Moves Into the New Accounting Environment

Migration scope may include opening balances only, open transactions, selected historical detail or broader transaction history.

The client and its professionals approve historical depth, cut-off dates, opening balances, retained records and accounting treatment.

Explore Month-End Close Support β†’
01

Opening-Balance Migration

Move approved account and subledger balances as of the agreed cutover date.

02

Open-Item Migration

Move approved unpaid invoices, bills, credits and selected reconciling items.

03

Selected Historical Detail

Move approved transaction history for defined periods or account types.

04

Reference-Only Archives

Retain source records outside the target system under client-approved policies.

MIGRATION EXCEPTION MANAGEMENT

Rejected, Unmapped or Unbalanced Records Remain Visible

Migration exceptions should remain open until corrected, approved, excluded or assigned an authorized treatment.

01

Missing Source Record

A required transaction, balance, document or master-data record is unavailable.

02

Unsupported File Format

The source file cannot be reliably processed without conversion or a new export.

03

Duplicate Record

The same transaction, vendor, customer, item or journal may appear more than once.

04

Unmapped Account or Dimension

A source account, entity, project or code lacks an approved target mapping.

05

Invalid Required Field

A mandatory date, amount, identifier, currency or reference is missing or invalid.

06

Source-to-Target Balance Difference

The migrated balance or control total does not agree with the approved source.

07

Rejected Import Record

The target platform rejects a row because of format, configuration or validation rules.

08

Locked or Restricted Period

The target system does not permit the planned historical record treatment without client action.

ACCOUNTING MIGRATION QUALITY CONTROLS

Checks Applied Before and After Target-System Migration

Controls are adapted to source quality, target requirements, migration scope, record volume, entities, currencies and system limitations.

Explore Our Quality Framework β†’
01Source-file completeness checks
02Record-count and control-total validation
03Required-field and format checks
04Duplicate-record detection
05Source-to-target mapping validation
06Master-data reference checks
07Opening-balance reconciliation
08Test-import reject review
09Exception and correction logs
10Post-migration source-to-target reconciliation
ACCOUNTING MIGRATION DELIVERABLES

Provide Controlled Files, Mappings and Reconciliation Evidence

Deliverables are aligned with the approved migration scope and target-system requirements.

01

Migration Scope and Data Inventory

Documented systems, entities, periods, files, record types, dependencies and exclusions.

02

Source-to-Target Mapping Workbook

Approved account, dimension, master-data and field mappings.

03

Import-Ready Data Files

Validated target templates or staged files prepared for client-approved upload.

04

Test-Migration Results

Sample loads, rejected records, validation findings and required corrections.

05

Control and Reconciliation Schedules

Record counts, balances, totals and source-to-target comparison schedules.

06

Migration Exception Register

Open issues, rejected records, missing data, required decisions and owners.

ACCOUNTING SOFTWARE COMPATIBILITY

Support Migration Across Client-Approved Accounting and ERP Environments

Support may involve source exports and target templates from widely used accounting systems, ERP platforms, spreadsheets and client-owned tools.

Software references do not imply partnership, endorsement or certification. Actual compatibility and import capabilities are confirmed during discovery.

Explore Software Compatibility β†’
QuickBooksXeroZoho BooksSageNetSuiteSAPOracleMicrosoft DynamicsMYOBMicrosoft ExcelGoogle SheetsClient-Owned ERP
ACCOUNTING MIGRATION ENGAGEMENT MODELS

Assessment, Preparation, Test and Reconciliation Support

01

Migration Readiness Assessment

Review systems, scope, source quality, target requirements and dependencies.

02

Data Preparation Project

Prepare mappings, master data, historical records and import-ready files.

03

Test and Validation Support

Support test batches, reject handling, control totals and client review.

04

Post-Migration Reconciliation

Compare source and target totals, balances and record counts after cutover.

SECURITY, BACKUPS AND CUTOVER CONTROL

Migration Access Should Match the Assigned Task

Clients retain authority over source and target credentials, backups, system configurations, production uploads, period locks, approvals and final records.

01Role-based and client-approved system access
02Minimum necessary financial and master data
03Client-controlled source and target backups
04No independent production cutover authority
05Approved file-transfer and storage methods
06Migration, correction and exception records
MIGRATION AND PROFESSIONAL BOUNDARIES

Accounting Data Migration Does Not Replace Accounting, Tax, Audit or System-Implementation Judgment

AI Accounting Services supports data inventory, extraction preparation, mapping, template preparation, test migration, validation, reconciliation and exception management.

We do not independently determine accounting policy, approve tax codes, certify source completeness, configure all target-system rules, authorize production cutover or guarantee zero data loss.

Final mappings, opening balances, tax treatment, backups, system settings, cutover decisions and professional approvals remain with the client and its authorized accountants, tax advisers, software specialists and other professionals.

Read the Professional Services Disclaimer β†’
ACCOUNTING DATA MIGRATION FAQS

Questions About Accounting Data Migration Services

These answers explain migration scope, data types, testing, uploads, reconciliation, cleanup, platform compatibility and client responsibilities.

View All FAQs β†’

Accounting data migration services prepare, map, validate and reconcile financial records when moving from a legacy accounting system, spreadsheet environment or ERP platform into a client-approved target system.

PLAN A CONTROLLED ACCOUNTING SYSTEM MIGRATION

Prepare, Test and Reconcile Financial Data Before Production Cutover

Tell us about your source system, target platform, entities, historical periods, data volume, currencies, target date and known data-quality issues.