MYAM for
Finance teams
Plan, close, and control — every number computed in code and traced to a source.
10 agents · 0 live today
Accounts Payable Agent
For finance teams
Parses invoices, performs deterministic three-way matching, classifies discrepancies, runs duplicate and fraud checks including vendor bank-change verification, and prepares payment proposals for human approval. Never pays.
Moves: Duplicate-payment detection recall
Accounts Receivable Agent
For finance teams
Computes aging, scores payment risk, drafts policy-compliant dunning sequences, detects disputes and excludes them automatically, reconciles receipts, and reports DSO trend. No threats or legal assertions.
Moves: Days sales outstanding
Engagement Profitability Agent
For finance teams
Computes per-engagement margin, utilisation, burn against the SOW baseline, and revenue leakage with evidence, feeding comparables back to estimation and proof points to case studies. Never rendered client-facing.
Moves: Revenue leakage identified
Finance Compliance Agent
For finance teams
Builds rule checklists with jurisdiction and effective date, flags gaps, summarises regulatory changes, and assembles documentation. Explicitly not legal or tax advice; abstains where jurisdiction is unclear.
Moves: Cited checklist coverage
FP&A Budgeting Agent
For finance teams
Assembles and tracks operating budgets from historicals and drivers, with scenario templates, an assumptions log, and a variance-ready workbook. Every figure traces to a ledger source or a stated assumption.
Moves: Budget build cycle time
FP&A Forecasting Agent
For finance teams
Driver-based and statistical forecasts with scenarios, sensitivity, confidence bands, and backtest error reported on every run. Never presents a point estimate without a band.
Moves: Forecast accuracy
FP&A Variance Analysis Agent
For finance teams
Computes actual-vs-plan variances with materiality thresholds, attributes drivers (price/volume/mix/timing/one-off), and drafts commentary with ledger citations on every line.
Moves: Material variance explained
General Ledger Agent
For finance teams
Suggests transaction classifications with rationale, detects duplicates and anomalies deterministically, proposes journal entries, and supports reconciliation. Cannot post — no posting capability exists in code.
Moves: Classification precision
Month-End Close Agent
For finance teams
Orchestrates the close checklist with owners, dependencies, and chasing; identifies reconciling items; assembles schedules; drafts statement narratives. Never marks a task complete on a human's behalf.
Moves: Days to close
Working Capital & Cash Flow Agent
For finance teams
Consolidates cash position, produces a 13-week rolling forecast and liquidity stress scenarios, and alerts on thresholds with the computed value stated. No fund movement capability.
Moves: 13-week cash forecast accuracy