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Hanzo for finance teams

Agents that reconcile, report and chase, on a ledger that refuses an unbalanced entry — and a record of every run, so the auditor reads what happened instead of asking.

What it does for you

Reconcile against a ledger that balances
Post every movement to a double-entry ledger. An agent matches payouts against it and brings back only what does not tie, instead of a person scanning two spreadsheets.
Run the monthly pack on a schedule
On the first of the month a workflow pulls the numbers from Stripe, Google Sheets or your warehouse, drafts the variance commentary and posts it for review. If step seven fails, the run resumes at step seven.
Ask the warehouse in plain English
An agent writes the SQL, shows it to you and runs it against Datastore. You read the query before you trust the number.
Know what AI costs, agent by agent
Every agent carries a budget it cannot pass, and its spend is readable to the micro-dollar. The line on the invoice has a name next to it.
Diligence without the email chain
Share the data room with access controls and see who opened what. Send the agreement for signature and keep the cap table beside it.

Security and compliance

An audit trail you can query
Every request is a row: the organization and user who acted, the address they came from, what they called and what the server answered. An agent’s run is recorded the same way.
Credentials stay in KMS
The keys a workflow uses to reach your systems are held per organization in KMS, never in the workflow itself, and every privileged action is logged.

Put it to work

Start in the builder today, or talk to us about your organization.