An accounting firm's everyday work is built around the monthly rhythm: material arrives, it is recorded and reconciled, and conclusions are drawn afterwards. The multi-company view in Trust360 OS reverses the order. Reconciliation happens daily, and the receivables position is visible client by client in real time.
In practice this means the accountant can contact a client when payment times start to lengthen – not when the cash is already gone. Advice becomes proactive, and the accounting firm gains its own revenue stream from the value-added service.
Details of the accounting firm solution are on the industry page. We are happy to tell you more about the partnership model.