Atlar

Treasury operations and the books, on the same set of numbers.

Feature overview

Cashacross every bank account
Payoutsinitiated and tracked
Reconciledagainst the posted ledger

What you get

Atlar is where treasury moves money and watches cash across every bank account. Light is where the accounting for it lands. Connecting the two makes a payment run and its ledger entries one event rather than two records somebody reconciles afterwards.

Cash position, payment status and the booked entry stay in step, so treasury and finance stop working from different views of the same money.

  • Payments moved in Atlar, booked in Light.
  • Cash position read against what the ledger already says.
  • One trail from the instruction to the journal entry.