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Top Rated Financial Close Software with Financial reporting - Page 4

Last updated: September 2026

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82 software options

FlexiEPM logo

EPM for controlling and financial reporting

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FlexiEPM is an enterprise performance management system for financial controlling and reporting. It includes modules for budgeting, forecasting, financial consolidation, management reporting, HR controlling, and IFRS 16 lease accounting. Fully integrated with Microsoft Excel, it allows data transfer while maintaining familiar workflows. The software supports cost allocation, account reconciliation, and automated financial statement preparation in XML format.

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RealRev accounting software logo

The financial data layer built for healthcare's CFOs.

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The financial intelligence layer for the office of the CFO across outpatient and post-acute healthcare.

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Redwood Finance Automation logo

Software for automating financial operations

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Redwood Finance Automation is a cloud-based software designed to help businesses manage cash flow, procure to pay, asset accounting, and other financial operations via a unified portal. The platform enables organizations to create and establish automated workflows to link and handle multiple tasks like review cycles, approvals, metadata management, and more.

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Plika logo

A cloud-based software for analyzing your finances & budget

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A cloud platform to analyze your company data with a financial approach.

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DOKKA Close logo

AI-powered financial close management software

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DOKKA Close is financial close automation software that automates reconciliations, journal entries, and reporting through an AI-powered platform. The solution features automated task management, general ledger reconciliations, journal entry creation, flux analysis, and consolidated reporting capabilities. It integrates with ERP systems including NetSuite, SAP Business One, Acumatica, Priority, and QuickBooks Online to synchronize financial data throughout the close process.

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Mesh logo

AI-Powered Accrual Automation for Enterprise Finance Teams

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Mesh automates month-end accruals and prepaids for finance teams that have outgrown manual tracking. It flags accrual-eligible transactions, applies consistent estimation logic, and logs a full audit trail, built for mid-market / enterprise companies with high transaction volume.

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