Rivane’s perpetual general ledger posts, validates, and reconciles continuously, so your books are accurate every day, not just at month-end.
Entries post and validate as they happen, so the trial balance is always current, not as of last night.
AP, AR, revenue, and reconciliation all write here, so the numbers agree everywhere you look.
Approval rules and segregation of duties are enforced when entries land, not reviewed after.
Every module writes to one ledger, so the numbers are consistent everywhere you look.
Entries post and validate as they happen, no batch runs.
Tag entries by entity, department, class, and custom dimensions.
Accruals, allocations, and recurring entries post themselves.
Segregation of duties and approval rules enforced at posting.
Every entry is attributed, timestamped, and immutable.
The trial balance is always current and drillable.
Entries validate and post continuously against your chart and rules. There is no nightly batch and no waiting to see the impact, the ledger reflects reality in real time.
Accruals, prepaid amortization, allocations, and recurring journals run on schedule with the right coding, freeing the team from repetitive keying and reducing errors.
Approval thresholds and segregation-of-duties rules are enforced at the moment of posting, and every entry carries an immutable, attributed audit trail.
Move between the views your team lives in, all reading from the same continuously posted books.
Every posted entry lands here immediately. Drill from any balance to the entries and source documents behind it, without exporting to a spreadsheet.
Each step runs the moment data arrives, so month-end is a review rather than a rebuild.
Multi-entity, multi-currency, and audit-ready from the first period, without a re-platform later.
Run unlimited entities on one ledger with intercompany eliminations and consolidated views built in.
Transact and report in any currency with automated revaluation.
Every entry is attributed, timestamped, and immutable.
Model the business your way and report across any combination.
Read and write ledger data programmatically for any workflow.
The ledger reads from the systems you already run, so data lands coded and ready to post.
"The trial balance is never stale. Whatever hit the ledger this morning is already there, coded correctly, with the audit trail attached. Our auditors love it."Chief Accounting Officer, enterprise · early design partner
Trusted by modern finance teams
See the perpetual GL that keeps your books close-ready all month.