Helix Reports

Intercompany reconciliation software

Find the intercompany mismatch before it breaks the statements.

Investigate by entity pair, month, amount, and source record. Tag and net the activity, reconcile it, produce the schedule, and eliminate it at report time with an audit trail.

Good fit: mixed systems, many entities, repeated Excel work-ups.

Intercompany reconciliation

Mar 2026 · Read-only

Entity pair

Entity A ↔ Entity B

Period

Mar 2026

Difference

Open

Import complete (read-only)

Intercompany balances by entity pair
Entity pairEntity A amountEntity B amountDifferenceStatus
Entity A ↔ Entity B$248,350$248,150$200Investigate
Entity C ↔ Entity D$91,420$91,420$0Reconciled

Source record detail

Read-only provenance

Source system
Sage
Entity
Entity A
Counterparty
Entity B
GL account
2000 Due to/Due from affiliates
Amount
$200
Imported
Apr 1, 2026

Reconciliation history

  • Apr 1, 2026 · 10:15 AM

    Imported from Sage

    Read-only import.

  • Apr 1, 2026 · 10:20 AM

    Matched to counterparty

    Entity B record located.

  • Apr 1, 2026 · 10:35 AM

    Difference identified

    $200 open for investigation.

No automated GAAP entries. Eliminated at report time with a schedule.

Due to / due from

Mismatch problem

Due-to and due-from balances can fail to net to zero across entities. Month-end investigation often moves into spreadsheets when source records live in different ledgers.

Source-ledger records remain read-only

Inter-company transfers that do not equal zero.

Open intercompany relationships
Intercompany relationshipAccountsTransactionsAmountStatus
Atlantic–Elim.112-70,000.00Open
Quick Construction 2–Elim.19630,000.00Open
Quick Construction–Elim.17839,800.00Open
Construction subtotal3186-200.00Needs review

Open differences need the corresponding entry, not another summary export.

Workflow

Reconciliation workflow

Start with transaction type, entity pair, month, and amount. Then inspect the source transaction, record the correction, and keep the audit trail attached.

Investigate, correct, and schedule at report time.

Intercompany investigation

Read-only

Transaction type

Due to/Due from

Entity pair

Entity A ↔ Entity B

Months

Mar–Apr 2026

Amount search

$200

Status

Open

  1. 1Pair
  2. 2Search
  3. 3Source record
  4. 4Correction history
Intercompany source transactions for Entity A and Entity B
DateSourceEntityAccountMemoAmountStatus
Mar 15 2026SageEntity ADue to/Due from affiliatesShared service fees$150Open
Mar 20 2026YardiEntity BDue to/Due from affiliatesIntercompany support$300Open
Apr 1 2026SageEntity ADue to/Due from affiliatesShared service fees$200Open
Apr 5 2026YardiEntity BDue to/Due from affiliatesIntercompany support$200Open
Apr 12 2026SageEntity ADue to/Due from affiliatesReimbursement$100Open

Correction history

Selected record · Apr 1 2026 · $200

  • Apr 1, 2026 · 10:15 AM

    Imported read-only

    System · Record imported from Sage.

  • Apr 1, 2026 · 10:20 AM

    Matched to counterparty

    System · Matched to the Entity B record.

  • Apr 1, 2026 · 10:35 AM

    Status changed to Investigate

    Analyst · Difference identified: $200.

Global transaction search

Read-only

Amount

$200

Source detail

Due to/Due from

Period

Mar–Apr 2026

Sources

Yardi, Sage, MRI, QuickBooks, Rails, Other GL

Transaction search results across connected ledgers
DateSourceEntityAccountDescriptionAmountMatch status
Mar 2 2026MRIEntity CDue to affiliatesManagement fee$200No match found
Mar 4 2026QuickBooksEntity ADue to affiliatesReimbursed expense$200No match found
Apr 1 2026YardiEntity BDue from affiliatesShared service fees$200Corresponding entry found
Mar 10 2026SageEntity DDue to affiliatesConsulting services$200No match found
Mar 15 2026Other GLEntity CDue from affiliatesSystem support$200No match found

Elimination schedule — printable

Prints to a clean, audit-ready schedule

States

Include

Exclude

Show only

Printable elimination schedule
Entity pairRelationshipAmountStateNotes
Entity A ↔ Entity BDue to/Due from affiliates$200IncludeReport-time elimination
Entity C ↔ Entity DIntercompany receivable$0Show onlyReconciled

Source search + schedule

Global transaction search

Search by amount and source detail across connected ledgers, then produce a printable elimination schedule with include, exclude, or show-only states.

  • Find the matching entry

    Search across all connected sources to locate the corresponding entry for the amount and relationship.

  • Resolve with confidence

    Set include, exclude, or show-only states to define the treatment in your elimination schedule.

  • Produce auditable output

    Print a clean schedule that shows entity pairs, amounts, states, and notes for audit-ready transparency.

Combining multiple QuickBooks files is only one way to use Helix.

Group scope + audit

Group scoped elimination

Elimination behavior can follow the reporting group.

A consolidated result stays traceable to source detail, mapping state, correction history, and reconciliation action.

Group scoped elimination

Read-only

Reporting group

Acquisition group

Compare

All entities

Period

Mar 2026

Intercompany activity

$248,350

Eliminated at report time

$248,150

Open difference

$200

Elimination treatment by reporting group
Reporting groupEntity pairAccountAmountElimination stateAudit status
Acquisition groupEntity A ↔ Entity BDue to/Due from affiliates$200IncludedInvestigate
Parent groupEntity A ↔ Entity BDue to/Due from affiliates$200Show onlyReview
All entitiesEntity C ↔ Entity DDue to/Due from affiliates$0ExcludedReconciled

Audit trail and drilldown

  • Source detail

    Entity
    Entity A (USD)
    GL account
    2000 Due to/Due from affiliates
    Amount
    $200
    Document
    JE-10234
    Date
    Apr 1, 2026
  • Mapping state

    Mapping rule
    IC-DF-AFFIL-USD
    Mapping status
    Mapped
    Counterparty
    Entity B
    Matched account
    Due to affiliates
  • Correction history

    Apr 2, 2026
    Analyst
    Adjustment
    $200
    Note
    Reclassified to IC elimination
  • Reconciliation action

    Action
    Report-time elimination
    Rule
    ELIM-IC-STD
    Applied
    Apr 2, 2026
    Result
    Included in consolidation

Eliminated at report time within the reporting group; no GAAP entry is posted to any source ledger.

Fit + product boundaries

Boundaries

Helix is read-only, one-way, GL-based reporting. It does not replace bookkeeping, an ERP, fund administration, or source-ledger writeback.

Pricing starts at $1,000 and is scoped to entity count, source systems, report set, and configuration.

Helix boundaries

Does

  • Read-only import
  • Full GL reporting
  • Intercompany schedules
  • Audit trail

Does not

  • Bookkeeping
  • ERP replacement
  • Fund administration
  • Source writeback

Fit questions

Request a 15-minute fit call.

A 15-minute screening call confirms whether Helix fits your entities, systems, and reports before a longer product demo.