Client:

Kaizen

Tech stack:

Excel, ERP System (Oracle NetSuite), MS Teams (for collaboration)

Challenge:

Kaizen’s Accounts Payable ledger was overstated by nearly five times the actual liability due to thousands of duplicate invoice bookings and incorrect payment entries across hundreds of vendor accounts. This posed significant risks to accurate financial reporting and cash flow management.

Solution:

We led the end-to-end reconciliation of the AP ledger, including:

Outcome:

Quick Insights:

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