Multi‑entity finance operations

Every entity keeps its own books. Someone still has to make them agree.

Zafira Corporate builds Zafira Intelligence — software that pulls data straight from each entity’s ERP, reconciles it against the group, and puts only the exceptions in front of your team.

Reconciliation, live 04 entities
ERP — Entity A ERP — Entity B ERP — Entity C ERP — Entity D R matched — 412 flagged — 6
01 The problem

Close week runs on exports, not judgment

Group finance teams already know their business. What eats the calendar is getting every entity’s numbers into one place before anyone can start deciding what actually matters.

  • Manual pulls, every cycle

    Someone logs into each entity’s ERP, exports the same reports, and reformats them so they can sit next to each other.

  • Reconciliation by spreadsheet

    Intercompany balances, mapped accounts, and currency differences get matched by hand, line by line, entity by entity.

  • Exceptions buried in the noise

    The two or three items that actually need a decision are indistinguishable from the hundreds that reconciled cleanly.

02 Zafira Intelligence

One system that connects, reconciles, and tells you what needs a person

Zafira Intelligence sits across each entity’s ERP and runs the reconciliation cycle continuously, so the close starts with a short list, not a blank spreadsheet.

01

Connect

Zafira Intelligence pulls transaction and balance data directly from each entity’s ERP on a schedule you set, no manual export required.

02

Reconcile

Entries are matched across entities and against group-level accounts, applying the same mapping and tolerance rules your team already works to.

03

Review

Matched items close themselves out. What’s left — genuine breaks, timing gaps, unmapped accounts — is queued for a person, with the context needed to resolve it.

03 Services

From messy books to a system that runs itself

We start where your data actually lives — the books. From there we build the dashboard that makes the group visible, then the automation that keeps it that way.

01

Bookkeeping & reconciliation

We get every entity’s transactions categorized, reconciled, and current — the foundation everything after this depends on.

02

Intelligence dashboard

Clean books become a live, group-wide view — balances, exceptions, and trends in one place instead of scattered spreadsheets.

03

AI & automation build

For the specific, repetitive parts of your process, we build the automation or AI tool that removes them — shaped around how your entities actually work.

Also available

Ongoing support

As entities are added, restructured, or divested, we keep the bookkeeping, the dashboard, and the automations current with the group.

Also available

Fractional CFO & finance leadership

Hands-on interim CFO, controller, and finance-transformation support from a team that has personally led multi-entity accounting, consolidation, and ERP rollouts across Belgium, Luxembourg, and France.

04 About

We’re practitioners first

Zafira Corporate started from a specific, recurring frustration: finance teams inside multi-entity groups spend the majority of close week moving data around, not evaluating it. Zafira Intelligence is our answer — software built to take over the pulling and matching, so the people on your team spend their time on the handful of items that actually need a decision.

We’re building it in close partnership with the finance teams who will use it, which means the product changes shape around real reconciliation rules, not a generic template of them.

Get in touch

Tell us how your entities are structured. We’ll tell you what automating the reconciliation would look like.

A short conversation is usually enough to tell whether Zafira Intelligence fits how your group actually closes its books.