AI-Assisted Accounting Services for Structured Finance Operations
Bookkeeping, transaction processing, reconciliations, close preparation, reporting support and financial data operations—combined with experienced human review.
Our services are designed for businesses, accounting firms and finance teams that need dependable processing capacity without losing control over systems, accounting policies, approvals or professional decisions.
From Financial Inputs to Reporting-Ready Records
AI supports the workflow. Human reviewers validate the records before final delivery.
Accounting Support Designed Around Accuracy, Continuity and Control
Growing organizations often need additional accounting capacity, but outsourcing should not create more complexity. Our model is built around documented workflows, defined responsibilities, review checkpoints, visible exceptions and client-controlled approvals.
Services can be delivered as individual workflows or combined into a broader accounting operations model. The scope can be adapted to transaction volume, reporting cycles, software environments and internal team responsibilities.
Structured Processing
Defined inputs, task steps, review rules, exception paths and delivery requirements.
Human Financial Review
Processed records are reviewed before reconciliation, approval or delivery.
Client-Controlled Systems
Work is completed within approved systems, access rights and accounting instructions.
Reporting Readiness
Records, schedules and reconciliations are organized for authorized review and reporting.
Recurring Services for Day-to-Day and Month-End Operations
These services form the operational foundation of most accounting support engagements.
AI-Assisted Bookkeeping Services
Transaction categorization, ledger updates, bank and card activity, supporting records and recurring bookkeeping workflows.
Explore service → 02Accounts Payable Processing
Invoice entry, vendor matching, approval routing, purchase-order support, exceptions and payment-ready data.
Explore service → 03Accounts Receivable Processing
Invoice tracking, payment posting support, customer account updates, aging preparation and follow-up documentation.
Explore service → 04Bank and Credit Card Reconciliation
Statement matching, unmatched-item review, reconciliation schedules and balance-difference investigation support.
Explore service → 05Invoice Processing Services
Document classification, field extraction, duplicate checks, validation and client-approved routing.
Explore service → 06General Ledger Maintenance
Account updates, supporting schedules, period review, coding validation and correction tracking.
Explore service → 07Month-End Close Support
Checklist coordination, reconciliations, open-item review, schedules and close-ready record preparation.
Explore service → 08Financial Data Entry Services
Structured entry of financial data from approved source documents into client-defined systems and templates.
Explore service → 09Financial Document Processing
Classification, indexing, extraction, standardization, routing and supporting-document review.
Explore service → 10Financial Reporting Support
Source-data organization, report preparation, management schedules and recurring reporting-ready outputs.
Explore service →Focused Services for Backlogs, Data Quality and Complex Workflows
Specialized services can be delivered as standalone projects or integrated into a recurring engagement.
Technology Supports the Workflow. Human Review Protects the Process.
We do not position our services as fully autonomous accounting. AI assists selected operational tasks while people validate context, instructions and exceptions.
- Invoice and receipt extraction
- Document classification
- Transaction categorization suggestions
- Duplicate and missing-field detection
- Reconciliation matching suggestions
- Data standardization and prioritization
- Source-to-entry accuracy
- Client-specific coding instructions
- Unclear records and exceptions
- Reconciliation differences
- Supporting-document completeness
- Correction logs and approval readiness
A Repeatable Workflow From Discovery to Ongoing Reporting
Every engagement is designed around the client’s accounting calendar, systems, transaction sources, responsibilities and approval requirements.
Discovery
Understand systems, volumes, documents, reporting needs and current challenges.
Workflow Design
Define rules, responsibilities, review points, exceptions and turnaround expectations.
Controlled Onboarding
Configure approved access, sample files, checklists and communication routines.
Processing
Complete recurring tasks using documented client-approved instructions.
Human Review
Validate records, investigate exceptions and document corrections.
Delivery and Reporting
Provide reviewed records, status updates, exceptions and approval-ready outputs.
Quality Checks Across Capture, Review, Reconciliation and Delivery
Controls are applied throughout the workflow so missing, conflicting or unclear records remain visible and traceable.
Explore Quality Controls →Accounting Support Adapted to Different Business Models
Service scope, document sources, transaction patterns and reporting requirements can be adjusted by industry.
Work Delivered Inside Client-Approved Accounting Environments
Our teams can work within documented workflows involving widely used accounting, ERP, spreadsheet and client-owned systems.
Software names do not imply partnership, endorsement or certification.
View Software Compatibility →Choose the Support Structure That Fits Your Accounting Workload
Engagements can be recurring, project-based, process-specific or designed around temporary capacity needs.
Dedicated Accounting Team
A stable support team aligned with documented tasks, review paths and communication routines.
Overflow and Capacity Support
Additional processing support during seasonal pressure, growth or internal staffing gaps.
Cleanup and Backlog Projects
Defined support for catch-up bookkeeping, data cleanup, document backlogs or migration preparation.
Workflow-Specific Support
Focused support for AP, AR, invoice processing, reconciliations, reporting or other selected tasks.
Operational Accounting Support Does Not Replace Licensed Professional Judgment
AI Accounting Services provides bookkeeping, accounting operations, financial data processing, documentation, reconciliation, reporting preparation and back-office support.
We do not provide independent audit opinions, legal advice, investment advice or unauthorized tax filing. We do not independently determine final accounting policy, tax treatment, statutory compliance or financial approvals.
Final professional decisions remain with the client and its authorized accountants, CPAs, tax advisers, auditors, legal counsel and other licensed professionals.
Read the Professional Services Disclaimer →Questions About Our Accounting Services
These answers explain scope, delivery, software, quality and professional boundaries.
View All FAQs →Services include bookkeeping, accounts payable, accounts receivable, bank and card reconciliation, invoice processing, general ledger maintenance, month-end support, financial data entry, financial document processing, reporting support and specialized accounting-data workflows.
Yes. Engagements can cover one selected workflow, several connected processes or a broader dedicated accounting support model.
No. AI may assist selected processing tasks, while human reviewers validate records, exceptions, reconciliations and client-specific instructions before delivery.
Yes, where system access and workflow requirements are agreed. Our teams can work within client-approved accounting, ERP, spreadsheet and reporting environments.
Quality controls may include source-to-entry checks, required-field validation, duplicate detection, account matching, period checks, reconciliation, exception queues, reviewer logs, correction tracking and client approval workflows.
No. We may organize tax documents or prepare supporting schedules, but independent tax advice, filings, audit opinions and final professional decisions remain with authorized licensed professionals.
Onboarding begins with discovery of systems, documents, transaction volume, service scope, approval paths, reporting needs and current challenges. The workflow is documented before recurring delivery begins.
Choose the Services, Workflow and Review Structure That Fit Your Business
Tell us which processes you need help with, your current software, monthly transaction volume and reporting requirements.