Software for finance teams
We build software for finance teams that spend their days in documents — extraction, reconciliation, and clean handoffs into the ledgers you already run.
A finance team's day is buried in paper that arrives in every format: invoices, statements, receipts, remittances, each one a little different from the last. The work is rarely the reading — it is the re-keying, the matching, the chasing down of what does not reconcile. Software earns its place here by removing that friction, not by adding another screen to check.
We know this problem from the inside, because Docusift solves it in production today — reading finance documents with no template per layout, and pushing structured data straight to QuickBooks, Xero, Google Sheets, or a webhook. We bring that same capability to the workflow you actually run, whether that means extending Docusift or building something shaped to your close.
What we build for finance
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Documents to structured data
Invoices, statements, receipts, and forms read into clean fields with a confidence score on each — the low-confidence ones routed to review instead of landing in your books unchecked.
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Reconciliation that holds up
Matching across sources — bank feeds, ledgers, purchase orders — so what agrees passes quietly and only the genuine exceptions reach a person.
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Into the ledger you already use
Structured output delivered where the work lives: QuickBooks, Xero, Google Sheets, or a custom webhook into your own system, so the manual re-entry step disappears.
Related from Ekarche
Drowning in finance paperwork?
Tell us where the documents pile up and where the numbers need to land. We will build the path between them so your team stops re-keying and starts reconciling.