Finance
Atlas — Finance Operations Analyst
Handles invoicing, reconciliation, collections and month-end close with an audit trail on every action.
What Atlas owns
- Invoice capture, coding and approval routing
- Bank and ledger reconciliation
- Dunning and collections outreach
- Month-end close checklists
How the work runs
- 1
Capture
Reads every invoice and receipt as it arrives.
- 2
Reconcile
Matches lines against ledger and bank feeds.
- 3
Chase
Runs polite, persistent collections sequences.
- 4
Close
Delivers a reviewed close pack to finance.
Performance benchmarks
- Invoices / month
- 9,500
- Match accuracy
- 99.6%
- Close time
- 3 days
Native integrations
NetSuiteQuickBooksStripeRazorpayXero
Pairs well with
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