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Finance & Accounting pricing

Finance & Accounting Suite

Choose a tier, compare scope, then configure the plan for your rollout.

Finance & Accounting Suite gives teams a suite pricing path within Finance & Accounting, with tiers that support first adoption, operational rollout and governed enterprise scale.

Finance and operations professionals reviewing data, controls and exceptions.
Finance & Accounting Suite starts with people trying to make the right call. Finance needs to reconcile bank, ledger and transaction records faster.

Plan fit

Understand the commercial shape before choosing a tier

Finance & Accounting Suite gives teams a suite pricing path within Finance & Accounting, with tiers that support first adoption, operational rollout and governed enterprise scale.

Flexible pricing

Choose your plan

Select a starting tier and configure users, billing and commercial details on the quote page.

Starter

Core capability, lower limits, standard automation and standard support.

$69
finance user/month

What's included:

  • Accounting Core
  • General Ledger
  • Billing

Usage limits:

UsersUp to 25
StorageStandard
IntegrationsStandard connectors
SupportStandard support

Plan details:

Base package1 user included
Base amount$69/month
Additional user$69 per user/month
Payment termsMonthly prepaid
Billing modelfinance user/month
RolloutAvailable as part of a phased rollout
Configure plan

Enterprise

Advanced governance, AI agents where applicable, enterprise controls, custom integrations, service target and dedicated support.

$179
finance user/month

What's included:

  • Accounting Core
  • General Ledger
  • Billing
  • Accounts Receivable
  • Accounts Payable
  • Cash & Bank Management
  • Payments
  • Fixed Assets
  • Tax Management

Usage limits:

UsersUnlimited / contracted
StorageEnterprise allocation
IntegrationsPremium and custom connectors
SupportDedicated enterprise support + service target

Plan details:

Base package15 users included
Base amount$2,685/month
Additional user$179 per user/month
Payment termsMonthly prepaid
Billing modelfinance user/month
RolloutAvailable as part of a phased rollout
Configure plan
Finance and operations professionals reviewing data, controls and exceptions.
Where Finance & Accounting Suite becomes real work people can trust. Finance, data and control work made visible through review, exception handling and accountable decisions.

Compare plans

Compare Plans

Detailed scope comparison to help you choose the right plan.

Capability StarterBusinessEnterprise
Commercial scope
Monthly price $69$179
Annual prepaid equivalent $59/mo equiv.$153/mo equiv.
Billing basis finance user/monthfinance user/month
Base included 1 user included15 users included
Included apps 39
User scale Up to 25Unlimited / contracted
Storage StandardEnterprise allocation
Integrations Standard connectorsPremium and custom connectors
Support Standard supportDedicated enterprise support + service target
Billing options annual-prepaid, monthly-prepaidannual-prepaid, monthly-prepaid
Recommended NoNo

Included apps

Apps in this Suite

The plan is composed from Advanze product capabilities, so teams can adopt a focused plan without creating another silo.

Accounting Core

Included capability in this suite.

General Ledger

Included capability in this suite.

Accounts Receivable

Included capability in this suite.

Accounts Payable

Included capability in this suite.

Cash & Bank Management

Included capability in this suite.

Fixed Assets

Included capability in this suite.

Tax Management

Included capability in this suite.

Billing

Included capability in this suite.

Payments

Included capability in this suite.

Why this pricing path matters

Finance & Accounting Suite pricing should be understood through the work it helps govern.

Finance needs to reconcile bank, ledger and transaction records faster.

What makes it harder in the real world: Reconciliation touches financial controls, auditability, thresholds, reason codes, journal proposals, segregation of duties and evidence requirements. Speed without control can create material risk.

What Advanze changes: Use agents to gather statements, ledger extracts, rules and prior exceptions, then propose safe matches and route unresolved items for review without posting journals automatically.

Data Preparation AgentPulls statements, ledger extracts and transaction files for the same period.
Matching AgentApplies safe matching rules for exact matches, known offsets, reversals, duplicates and timing differences.
Finance Policy AgentChecks thresholds, reason codes, account mappings and approval requirements.
Exception AgentGroups unresolved items, proposes likely causes and drafts follow-up notes.
Human Finance ReviewerApproves exceptions, journal templates and material decisions.
Challenge

Reconciliation touches financial controls, auditability, thresholds, reason codes, journal proposals, segregation of duties and evidence requirements. Speed without control can create material risk.

Orchestration

Use agents to gather statements, ledger extracts, rules and prior exceptions, then propose safe matches and route unresolved items for review without posting journals automatically.

Success

Use agents to gather statements, ledger extracts, rules and prior exceptions, then propose safe matches and route unresolved items for review without posting journals automatically.

Finance and operations professionals reviewing data, controls and exceptions.
Finance control 4Finance, data and control work made visible through review, exception handling and accountable decisions.
Finance and operations professionals reviewing data, controls and exceptions.
Finance control 5Finance, data and control work made visible through review, exception handling and accountable decisions.
Finance and operations professionals reviewing data, controls and exceptions.
Finance control 6Finance, data and control work made visible through review, exception handling and accountable decisions.

Control model

Useful AI execution needs pricing, permissions and governance to move together.

That is why pricing has to connect to the operating model: the number of users is only one part of the cost; the real value comes from governed execution, reusable controls and agent work that can safely scale.

  • Reconciliation touches financial controls, auditability, thresholds, reason codes, journal proposals, segregation of duties and evidence requirements. Speed without control can create material risk.
  • The right agent must receive the right context, tools, permissions and approval path before work moves forward.
  • Audit evidence, exception handling and human judgement need to be part of the workflow, not notes added after the fact.
Finance and operations professionals reviewing data, controls and exceptions.
The outcome is not just automation. It is confidence in what happens next. When Finance & Accounting Suite runs inside a governed execution model, teams can move faster without losing judgement, accountability or trust.

Next step

Review another pricing path or involve sales

Go back to pricing categories when you want to compare alternatives, or contact sales to combine this plan with other suites, services and enterprise controls.