There are many detailed facets related to balance sheet account reconciliation, such as accurate account balances, calculated assets, shareholder equity and outstanding liabilities. Automating the substantiation, review, and approval of this information in a fully auditable environment adds a new level of control and sustainability. The work and task allocation leveraged by the Flying Colour solution allows the team to focus on investigations, resolutions, reporting and advisement’s – versus simply compiling lists of financial data.