Connect the workflow.
Derive the entity-level breakdown and journal lines from verified netting records, using your account mapping.
A Frame workflow
Trace the close back to the original obligations and recompute the reported figures from the same evidence pack.
The customer problem
A net payment does not by itself explain the underlying intercompany payables, receivables and reporting facts needed at period end.
For corporates & treasury →Entity A pays Entity B
Your systems execute the settlementDerive the entity-level breakdown and journal lines from verified netting records, using your account mapping.
Provide the accounting map, entity and payment classifications, references and period boundary. Finance teams post entries; tax advisers and auditors decide treatment and presentation.
Gross obligations, net funding and period totals that can be traced back to the same records.
Make the next move
Bring us the systems you use and the change you want to make. We’ll map where Frame fits and what a useful first demonstration should show.