DETERMINISTIC INTELLIGENCE · FINANCE

Reconstruct financial state. Reconcile before you explain.

Finance Intelligence connects entities, accounts, entries, documents, currencies and periods into traceable financial state — while keeping representation, reconciliation and judgment distinct.

Know the number. Reconcile the Ground. Understand the financial state.

Entity · Entry · Account · Period · Reconciliation

01

FINANCIAL GROUND

A reported number has an accounting path.

Finance Intelligence reconstructs balances and movements from explicit accounting populations. The same economic reality may appear differently across ledgers, entities, currencies, periods and reporting representations.

A financial number should be explainable through the Ground that establishes it.

General ledger, Subledgers, Invoices and Payments can be related without pretending that each representation owns the same accounting truth.

EntitiesLedgersAccounts Journal entriesDocumentsPeriods CurrenciesExchange ratesClose states

02

SEMANTIC DISCIPLINE

A representation is not reconciled truth.

KNOW THE NUMBER

Representation

A source ledger or report records one representation of financial state.

RECONCILE THE GROUND

Compare representations. Surface the difference.

Two governed populations can be matched, different, missing or unresolved.

INTERPRETED

Judgment

The reason a difference matters may require accounting context beyond the arithmetic.

03

QUESTIONS

Financial questions answered from Ground.

What moved between opening and closing balance?

Which entries explain the largest period movement?

Which representations reconcile and which do not?

Where are records missing on one side of a reconciliation?

How much of a difference is explained versus unresolved?

Which comparisons are invalid because currency, sign or period semantics differ?

04

MEASURES

Every financial number has a defined population, period and representation.

Closing balance

Opening balance + governed period movement.

AVAILABLE

Requires account, sign, period and posting Ground.

Reconciliation difference

Comparable left population − comparable right population.

AVAILABLE

Requires explicit matching and comparison rules.

Explained difference

Difference assigned to governed explanatory categories.

PARTIAL

Partial where explanatory mapping remains incomplete.

05

STATE AND MOVEMENT · ILLUSTRATIVE EXAMPLE — SYNTHETIC DATA

Opening. Movement. Closing.

Synthetic values demonstrate state movement; they are not customer financial results.

06

RECONCILIATION STATE

See exactly where the representations differ.

MATCHED

Both governed populations agree under the matching rule.

DIFFERENT

Comparable records exist on both sides but values differ.

MISSING_LEFT

Expected counterpart is absent from the left population.

MISSING_RIGHT

Expected counterpart is absent from the right population.

UNRESOLVED

Identity or semantic closure is insufficient.

INCOMPARABLE

Currency, period or representation semantics do not support comparison.

07

DATA SUFFICIENCY

Incomplete Ground stays visible.

Ledger entriesAVAILABLE
Document referencesAVAILABLE
Cross-system matching keysPARTIAL
Cross-ledger reconciliationPARTIAL
Economic explanation of every differenceNOT_ESTABLISHED

08

WHY THIS NUMBER?

Trace closing state to entries and documents.

Closing balance→Account→Period movement→Journal entry→Source document

09

BOUNDARY

A reconciliation difference is Ground. Its accounting meaning may require judgment.

Finance Intelligence establishes where governed representations differ and identifies the records behind the difference. Accounting treatment remains an accounting decision.

10

DAILY DETERMINISTIC INTELLIGENCE

Search, filter, navigate, reconcile, compare and drill down.

Finance Intelligence supports Search, Filter, Navigate, Reconcile, Compare and Drill down over explicit financial Ground.

SOURCE AUTHORITY

Accounting records remain source-owned.

Reconstruction does not establish automatic accounting correctness or automatic regulatory compliance.

AI OPTIONAL IN DAILY USE

CUSTOMER-CONTROLLED COMPUTE

Finance Intelligence is not a generative copilot for ordinary daily use and does not require a mandatory radius19-hosted SaaS runtime.

AUTHORITY BOUNDARY

Observation is not financial authority.

Finance Intelligence does not make autonomous financial decisions, has no posting or writeback into source systems, and has no payment initiation or payment authority.

11

SOFTWARE LICENSE

Deploy Finance Intelligence in customer-controlled infrastructure.

Finance Intelligence is supplied as software for customer-controlled deployment.

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