Close the books faster. Every month.
ClosingKit automates your month-end close package, financial reconciliations, management accounts, and board packs — so your team spends less time on spreadsheets and more time on analysis.
Everything your finance team needs to close confidently
Four integrated tools that cover the full month-end workflow — from reconciliation to board presentation.
Month-End Close Package
Generate a complete close package with task checklists, sign-offs, and status tracking. Never miss a close step again.
Financial Reconciliation
Reconcile bank accounts, intercompany balances, and subledgers with variance explanations and audit trails built in.
Management Accounts
Produce presentation-ready management accounts with P&L, balance sheet, KPIs, and commentary — formatted for your stakeholders.
Board Financial Pack
Create board-ready financial packs with executive summaries, trend analysis, and professional formatting that impresses directors.
Works alongside your existing tools
Three steps to a faster close
Choose your template
Pick a close package, reconciliation, management accounts, or board pack template. Customise fields to match your chart of accounts.
Enter your numbers
Input balances, variances, and commentary. Built-in validation catches common errors before they reach your reviewers.
Export & share
Download polished PDFs or share live links with stakeholders. Every output includes full audit trails and version history.
Stop dreading month-end
Built on GAAP and IFRS frameworks. Close faster with ClosingKit. Start with a free close package — no signup required.
SOC 2 Compliant
Enterprise-grade security for your financial data
Audit-Ready Output
Every document includes complete version history and sign-off trails
IFRS & GAAP Ready
Templates aligned with international and US reporting standards
No Vendor Lock-in
Export everything as PDF, Excel, or CSV at any time