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< POWRÓT

IBM Controller

Streamline your consolidation process with automation

Automated financial consolidation tailored to the needs of medium and large capital groups

Learn the technology

See what you gain

Automatic elimination of intercompany transactions and equity

Clear access to financial data

Automatic balance carryforward between periods

200+ built-in reports to choose from

High auditability of the process

Excel integration

Consolidation challenges

Limited data visibility

Lack of insight into change history, data edits, and permission management disrupts control over the consolidation process.

Evolving reporting requirements

Constantly changing internal and external reporting requirements increase the complexity of financial operations.

Lack of system flexibility

An inflexible reporting model that can’t adapt to group structure changes hinders continuity and efficiency of financial processes.

FULL AUDIT READINESS

Support for closing financial periods of any complexity

IBM Controller automates period-end closing and reporting, minimizing dependence on IT teams. The tool offers easy integration with other IBM solutions, and most importantly – enables CFOs to access a full set of financial results and efficiently create high-value management reports.

Predefined reports

Significantly reduce implementation time and allow for a quick system start-up.

Intuitive interface

The system can be fully operated by finance teams without requiring technical expertise.

Unified data structure

Data entered centrally for all entities ensures consistency across the entire group.

Multilingual system

At both application and item description levels, supporting global financial reporting management.

Cloud, Excel, and ERP integration

Provides flexibility and ease of use, enabling quick access, efficient data exchange, and analysis.

Compliance with US GAAP, IFRS, and more

Meets both global and local financial reporting standards right out of the box.

ONE SOURCE OF CONSOLIDATION TRUTH

What does IBM Controller deliver?

Financial data collection

Collects data from multiple sources and systems, and presents it in various reporting and transactional currencies.

Value allocation

Allocates values based on user-defined rules between companies, accounts, or business dimensions.

Advanced calculations

Performs advanced formula-based calculations and integrates financial/non-financial indicators within the consolidation process.

Currency conversion

Supports currency conversion at every level and automatically recalculates group-level data.

Intercompany transaction elimination

Eliminates intercompany transactions, supports data entry at the entity level, and allows real-time data preview.

Business rule definition

Defines business rules for recurring processes with easy tracking of history and data flows.

Equity elimination

Handles elimination of equity and other consolidation adjustments across statutory and managerial structures.

Customized data reporting

Enables customized reporting aligned with regulatory requirements for specific regions or countries.

Let's talk

From data consolidation to a ready-to-present management report

As part of our #ButikCFO initiative, we offer a set of technologies that support the entire consolidation process – from data import to exporting final reports in PDF format.

We configure systems to work seamlessly together, creating an integrated environment where you can first run the consolidation process automatically, and then generate a clear, board-ready report with ease.

Let's talk

WHY US?

Choose a trusted IBM Partner

As an IBM Gold Partner, we offer comprehensive support and long-term collaboration with our Clients, developing and optimizing their business models over the years.

IBM Partner Recognition Award winner

The prestigious IBM Partner Recognition Award is the best confirmation that we deliver top-quality solutions that genuinely support our clients' businesses.

17 years of collaboration with IBM

We have 17 years of experience working with IBM tools and are continuously improving our competencies to provide the latest solutions and best implementation practices.

System tailored to your needs

Our solutions are customized to the specific needs of our Clients, supporting process optimization and integration of advanced technologies such as AI and cloud computing.

CASE STUDIES

IBM Controller implementations at our Clients

Discover how our Clients are transforming financial reporting and gaining a strategic advantage with IBM Controller technology.

OUR OFFER

Looking for a different technology?

Discover financial tools for CFOs and finance teams from our portfolio.

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No-code

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FAQ

How does the application allow management of contracts settled in currencies other than PLN?

It is possible to import contracts that are settled in currencies other than PLN. Currency exchange rates and the PLN-to-foreign-currency ratios are retrieved daily based on data from the National Bank of Poland. According to the Client’s expectations, we create appropriate rules and conversion logic, enabling analysis of data in currencies directly related to the contract (contract currency), defined for the given company (local currency), or for the entire group of companies (group currency).

How is the level of liabilities and asset values for lease contracts determined at the moment the application becomes operational?

It is possible to import contracts that are settled in currencies other than PLN. Currency exchange rates and the PLN-to-foreign-currency ratios are retrieved daily based on data from the National Bank of Poland. According to the Client’s expectations, we create appropriate rules and conversion logic, enabling analysis of data in currencies directly related to the contract (contract currency), defined for the given company (local currency), or for the entire group of companies (group currency).

Advanced formula calculations

It is possible to import contracts that are settled in currencies other than PLN. Currency exchange rates and the PLN-to-foreign-currency ratios are retrieved daily based on data from the National Bank of Poland. According to the Client’s expectations, we create appropriate rules and conversion logic, enabling analysis of data in currencies directly related to the contract (contract currency), defined for the given company (local currency), or for the entire group of companies (group currency).

Currency conversion

It is possible to import contracts that are settled in currencies other than PLN. Currency exchange rates and the PLN-to-foreign-currency ratios are retrieved daily based on data from the National Bank of Poland. According to the Client’s expectations, we create appropriate rules and conversion logic, enabling analysis of data in currencies directly related to the contract (contract currency), defined for the given company (local currency), or for the entire group of companies (group currency).

CONTACT

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