Use our NetSuite integration to reconcile payments with live transaction data.
Incorporate P&L data
Automate updates to your operating model in Equals with live pulling of P&L data.
Instantly pull all vendor payments directly into a spreadsheet for analysis.
“Equals has helped us automate our weekly reporting which previously took hours of manual, tedious work for my team. We're now redefining our reporting workflows using Equals to allow us to get insights and get to decisions way faster. Absolute game changer.”