Once you have imported your customers’ financial data into Layer, you can start offering them Layer’s full suite of accounting features within your platform. This includes:Documentation Index
Fetch the complete documentation index at: https://docs.layerfi.com/llms.txt
Use this file to discover all available pages before exploring further.
- Transaction Categorization - Categorize customer bank transactions into revenue/expense categories and automatically reconcile bank transactions with revenue, payroll, and bill data. This ensures customers’ financial data is properly recorded in their general ledger.
- Accounting Reports - Surface real-time financial reports such as the profit and loss statement, balance sheet, or AR/AP aging summary.