FX translation
How to Consolidate a Multi-Entity SaaS Group When Each Subsidiary Uses a Different Accounting Platform
A practical guide for SaaS group finance teams managing consolidation across multiple accounting platforms — covering chart-of-accounts mapping, FX translation,…
Xero Consolidation for Groups With a Holding Company and Multiple Operating Subsidiaries: What to Set Up Before Your First Close
Before your first Xero group consolidation close, you need more than good bookkeeping — you need aligned charts of accounts,…
How to Build Recurring Consolidation Journals That Post Automatically Every Period: A Step-by-Step Guide for Multi-Entity Groups
Multi-entity finance teams waste hours each month rebuilding the same consolidation journals from scratch. This step-by-step guide shows how to…
Hotel Group Consolidation: How to Eliminate Management Fees, Brand Royalties, and Intercompany Rent Across Multiple Properties
Hotel groups operating across multiple properties face substantial intercompany transaction volumes each month — management fees, brand royalties, and intercompany…
SaaS Group Consolidation: How to Handle Deferred Revenue, ARR, and Intercompany Licensing Across Multiple Entities
Multi-entity SaaS groups face consolidation challenges that go well beyond traditional businesses: deferred revenue must be reconciled across subsidiaries and…
How to Automate the Monthly Intercompany Elimination Journal: A Step-by-Step Guide for Multi-Entity Groups
Intercompany eliminations are one of the most time-consuming steps in any multi-entity monthly close. This guide explains the mechanics behind…
Zoho Books Intercompany Loans in Multi-Currency Groups: Reconciling and Eliminating at Consolidation
Priya is the group financial controller for an Australian technology services group. The group runs three Zoho Books organisations: the…
How to Explain Consolidated Variances to Management
The quarterly management pack went out on a Tuesday afternoon. By Wednesday morning, Clara’s inbox had four messages from four…