Know your numbers are still true — every day.
Daily financial integrity verification across Stripe, payroll, banks, cards, and your ledger.
If totals change, you know tomorrow morning — not at close.
Automate cross-system checks. Detect drift daily. Preserve signed, audit-ready proof for every run. When someone asks "Are these numbers final?" you have proof — not a spreadsheet.
If totals change, you know the next morning — not at close.
Your financial systems operate independently.
Stripe processes revenue.
Gusto runs payroll.
Ramp and Brex issue corporate cards.
Mercury holds cash.
Your ledger records the story.
Each system works. But none of them continuously verify each other.
Most finance teams discover mismatches during month-end close.
By then, revenue is booked. Reports are sent. Fixes are manual.
VisiHub runs the check every day.
What VisiHub Does
It verifies the gaps between systems.
Finance teams build controls like:
- Stripe payouts → bank deposit matching
- Gross revenue → ledger tie-out
- Clearing account zero checks
- Payroll debit → bank confirmation
- Corporate card spend → GL expense mapping
- Fee variance detection
- Row count & schema drift checks
Each control runs on a schedule.
Each run produces a versioned, exportable record.
You review exceptions. The matching happens automatically.
How it works
Connect sources
Stripe, Mercury, Gusto, Brex, Ramp, QBO, Xero, SFTP, CSV.
Define deterministic checks
- Totals
- Row counts
- Clearing balances
- Schema integrity
- Custom reconciliation logic
Run automatically
Daily, weekly, or on demand.
Preserve history
- Every run is immutable
- Every assertion result is recorded
- Every snapshot is fingerprinted
No overwritten spreadsheets. No silent edits. No "which version is final?"
Reconciliation isn't the problem. Drift is.
You don't eliminate reconciliation. You industrialize it.
- Spreadsheet exports
- Manual tie-outs
- Email threads
- Late error discovery
- No reproducible evidence
- Daily automated verification
- Immediate drift detection
- Versioned reconciliation history
- Signed artifacts per run
- Clear audit trail
Audit-ready by design
Built for finance teams that need defensibility, not just dashboards.
Immutable history
Every reconciliation run is permanent. No silent edits. No backdating.
Drift detection
Automated assertions catch mismatches the day they appear, not at close.
Signed proof artifacts
Every run produces a fingerprinted, exportable reconciliation record.
Identity-bound audit trail
Every revision records who ran it, when, and from what sources.
Exportable evidence
Download signed proofs anytime. No lock-in. Standard formats.
Built for finance teams that need close integrity — not another dashboard.
- Finance teams formalizing their monthly close
- Controllers building their first internal controls
- Teams closing across QBO, Xero, Stripe, and bank feeds
- Organizations preparing for their first audit
- Anyone reconciling in spreadsheets once a month
If you're reconciling in Excel once a month,
VisiHub turns that into a continuous, audit-ready control.
Internal control infrastructure that scales with you.
Prevent financial drift before it becomes a board-level problem.
Growth
Daily integrity verification- Core cash & clearing integrity controls
- Daily automated runs
- Drift detection across periods
- Stripe, bank, and ledger integrations
- Signed verification artifacts
- 1-year immutable run history
- Stripe → bank reconciliation
- Clearing account zero control
- Deferred revenue completeness check
Most teams start here.
Start formalizing your closeProfessional
Continuous close verification- Unlimited cross-system controls
- Daily automated verification
- API & SFTP integrations
- Signed, exportable audit artifacts
- 3-year compliance-grade retention
- Onboarding support
- Stripe → bank → ledger reconciliation
- Payroll debit confirmation
- Corporate card → GL mapping
- Clearing account zero checks
Enterprise
Audit-grade governance- Everything in Professional
- Role-based access control
- Review & approval workflows
- 7-year immutable retention
- Audit logs