As a part of our endeavour to integrate patchworks of separate applications used by large enterprises, holdings and banks, our team has developed a universal tool that integrates financial transactions executed with the help of different software products, in accordance with different charts of accounts and accounting systems. The product serves to bring together, transform and check separate financial transactions in order to generate the consolidated balance sheet for an enterprise, holding, bank or financial group.


  • if any of your financial transaction processing routines creates a bottleneck
  • if your server cannot handle the evergrowing load
  • if you can hardly reconcile the data provided by different branches
  • if you need reliable consolidated data on your branches' performance
  • if you need complete analytical data broken by business products or business processes then this solution has been developed FOR YOU.