Resources
Guides for the work finance teams do every month.
How to run the close, match invoices and reconcile cash, from the team building Rebase. The first guides are on their way.
GuideComing soon
The month-end close checklist: what to prepare before day one
The records, owners and cut-offs to line up before the period ends, so the close starts from prepared work.
GuideComing soon
Three-way matching, explained: purchase orders, receipts and invoices
How matching an order, a goods receipt and an invoice catches errors before payment, and where it breaks down.
GuideComing soon
Bank reconciliation without the spreadsheet chase
Why reconciliations stall on unmatched deposits and timing differences, and how to clear them sooner.
See Rebase work through a finance process that matters to your team.
Tell us where the work gets stuck. We’ll walk through how Rebase could help.