General Ledger Software with AI Automation | Rillet
Automated general ledger
Built to handle the messy reality of accounting
Schedules, integrations, bulk data handling, and infrastructure built for modern finance teams
Integrated with your tech stack
Bring in rich data from your existing technology stack into Rillet through our native integrations. Data is automatically ingested, served for approval where needed, processed and posted to the general ledger.
Native schedules
Contracts, invoices and bills automatically generate journal entries and populate built-in supporting schedules. When month-end closing comes around automated revenue waterfall, deferred revenue, prepaid expenses, fixed asset schedules are time savers.
Easy file upload for all objects
Rillet allows for the seamless creation and updating of object types in bulk via file upload. We also have APIs that allow your engineering teams to bring in information.
Built for scale
Companies with high data volumes rely on Rillet for the seamless collection and processing of extensive financial datasets. Designed for scalability, Rillet guarantees efficient operations and real-time reporting, enabling teams to stay agile and well-informed.
"Rillet has been a total game changer for us. Their automations for revenue recognition, prepaid amortization, and cash reconciliation have shaved at least two days off our month-end close. I genuinely can’t imagine using any other accounting software again."
Emily Frey
Director of Finance, Smartcar
Explore more Rillet features
Aura AI
Rillet AI taps directly into your general ledger. Ask for insights or to process data, and focus on what only you can do.
Bank reconciliation
Rillet streamlines your bank reconciliation process, automatically matching thousands of transactions in seconds.
Close management
Save days on your close process every month with a built-in checklist and automated AI reconciliations. Draft flux analyses with a few clicks.
Native Integrations
Rillet integrates seamlessly with your tech stack, enhancing processes by becoming the single source of your financial data.
Multi-entity & accounting consolidation
Automate your workflow for multi-currency accounting and multi-entity consolidation. Currency re-evaluations, intercompany journals, and reporting that lets you switch between consolidated and subsidiary views with ease.
Security and Permissions
Every entry, every change, every reason.