A finance operations tool that automates month-end close workflows, reconciliations, journal entry support, and variance analysis across accounting data sources.
Added May 24, 2026
Last signal 3w ago
Companies repeatedly need finance and accounting teams to prepare journal entries, reconcile accounts, validate transaction flows, and support accruals or variance analysis during month-end close. These workflows span revenue, tax, production, billing, and bookkeeping data, creating manual handoffs and risk of delayed or inconsistent financials.
CloseFlow connects to ERP, billing, production, and tax data sources to surface reconciliation gaps, generate supporting schedules, and prepare review-ready close workpapers. It tracks handoffs between finance, accounting, and operations teams, flags unusual fluxes, and maintains close evidence for review.
The job signals show multiple companies hiring specifically to manage month-end close, reconciliations, and cross-functional accounting data flow. As finance teams in-house close processes and scale across entities, automation can reduce recurring manual review work.
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Showing 1-16 of 16 signals
Build and enhance scalable processes, controls, and systems to support a growing and evolving revenue model. Support and help lead the month-end close process, including preparation and review of revenue-related journal entries, reconciliations, and flux analysis.
Identify high-value automation opportunities across Finance and corporate operations — month-end close tasks, reconciliations, procurement workflows, variance analysis — and ship solutions that eliminate manual work
Collaborate with Accounting team during the monthly close to support accruals and variance analysis
Support and help lead the month-end close process, including preparation and review of revenue-related journal entries, reconciliations, and flux analysis.
Assist with month-end and year-end closing processes by providing production data and system reports for accounting review.
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