Granular, error-free records with verification gates.
Automated bookkeeping and reconciliation remove manual error and speed up the close.
Verification gates and full trails mean audits are a report, not a fire drill.
Books that reconcile themselves.
We deliver granular, error-free financial record-keeping with verification gates built in — so month-end is faster, cleaner and always audit-ready.
Capture and categorise transactions accurately at scale.
Reconcile in real time, not just at period end.
Catch errors and anomalies before they propagate.
Produce clean, traceable records for auditors.
Integrate ledgers and transaction sources.
Capture, categorise and reconcile.
Gate every entry against checks.
Deliver a faster, cleaner period-end.
Start small and scale — or ask us for a tailored quote for your program.
A focused, time-boxed engagement to validate the opportunity.
End-to-end design and delivery of a production-ready system.
A multi-workstream program across your portfolio.
Ongoing operation and optimisation for steady workloads.
A dedicated pod for high-velocity, always-on delivery.
Enterprise-grade operations with full governance.
Prices are starting points — request a custom quote for your project.
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